Infiniti Capital AG
We at Infiniti Capital believe there is a better way to manage wealth, one that allows the professional fund manager and the client to work together with the objective of positive investment returns in all market conditions. We also think that clients have a right to expect that their asset manager is properly incentivised to produce good results, and that rewards should stem directly from those results. That is not the way it works in the industry today. The future though, belongs to those who are prepared to be paid on results. At Infiniti Capital, we want to maintain a successful business, and that will only happen if we deliver results for our clients
The Fund is a unit trust formed and established under the laws of the Cayman Islands by the Trust Deed and registered as a regulated mutual fund under the Mutual Funds Law. The Fund targets consistent, medium-term capital appreciation by way of a dynamically managed allocation to a variety of highly diversified, non-correlated investment strategies that balance and complement each other. The Fund employs a research driven, predictive multi-manager approach to achieve this diversification while seeking to maximise returns and minimise risk. Overall investment objectives are to achieve attractive risk-adjusted returns with low volatility, low correlation to major asset classes such as stocks and bonds, and a focus on downside protection. The Investment Manager determines both the initial asset allocation to each strategy and any subsequent changes in allocations over time.
The Fund is structured as an umbrella unit trust with the ability to establish a separate sub-trust for each Class each with distinct risk/reward characteristics. Investors are free to select which sub- funds they would like exposure to and to switch between sub-funds on any dealing day (see switching). Each Class Fund will be managed individually according to the investment objective of that Class Fund. The Trustee, with the consent of the Investment Manager, will establish a Class Fund for one or more Classes, to which the assets and liabilities attributable to the relevant Class or Classes relating to the Class Fund will be apportioned in the books of the Fund. The Fund will initially comprise three Class Funds: the Growth Strategy Fund, the Momentum Strategy Fund and the Security Strategy Fund. The Units in each of the Growth Strategy Fund, the Momentum Strategy Fund and the Security Strategy Fund are available for subscription on the terms set out in this Prospectus. It is envisaged that further Class Funds may be created by resolution of the Trustee with the consent of the Investment Manager in the future. If and when further Class Fund(s) are established and become available, the Fund may, at its discretion, issue one or more separate supplements relating to such Class Fund(s), in which case each supplement shall form part of, and should be read in conjunction with this Prospectus or alternatively the Fund may, at its discretion, issue a separate private placement memorandum in relation to such Class Fund(s), or update, revise and amend this Prospectus. This Prospectus may be supplemented, updated, revised and amended from time to time and prospective investors should ask the Trustee or the Investment Adviser if any supplements or revisions to this Prospectus, or any later prospectus in respect of the Growth Strategy Fund, the Momentum Strategy Fund or the Security Strategy Fund, have been issued
Infiniti Capital Offshore Hedge Funds.
Invest through investoffshoredirect.com and initial charge is reduced
Infiniti Capital Proprietary Matrix 10 Sub-Trust
Andante Sub-Trust 1X USD Class
Conquistador II Sub-Trust
Infiniti Fixed Income Plus Sub-Trust
Paradigm Fund Limited
The Growth Strategy Class Fund
The Momentum Strategy Class Fund
The Security Strategy Class Fund
The Infiniti Capital Foundation Note
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