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CATAM Alternative Investment Fund -CHF-
CATAM Alternative Investment Fund -CHF-I-
CATAM Alternative Investment Fund -USD-
CATAM Alternative Investment Fund -USD-I-
LI0295783893
Master data
Master data
Key figures
Performance
Portfolio
Publications
Tax data
PRIIP
Fund information
Fund name
CATAM Alternative Investment Fund -CHF-
Accounting currency of the (sub-) fund
USD
Unit class
-CHF-
Reference currency of the unit class
CHF
Legal form
unit trust
Fund type
AIF
Close of accounting year
31.12
Launch date
30.10.2015
Fondsstatus
active
Initial issue price
CHF 1’454.00
Use of proceeds
reinvested
Organization
AIFM
IFM Independent Fund Management AG
FL-9494 Schaan
www.ifm.li
Portfoliomanager
CATAM Asset Management AG
FL-9494 Schaan
www.catam.li
Risikomanager
IFM Independent Fund Management AG
FL-9494 Schaan
www.ifm.li
Administrator
IFM Independent Fund Management AG
FL-9494 Schaan
www.ifm.li
Depositary
Liechtensteinische Landesbank AG
FL-9490 Vaduz
www.llb.li
Representative for qualified investors in Switzerland
LLB Swiss Investment AG
CH-8001 Zürich
www.llbswiss.ch
Paying agent for qualified investors in Switzerland
Helvetische Bank AG
CH-8008 Zürich
www.helvetischebank.ch
Auditor
Ernst & Young AG
CH-3008 Bern
www.ey.com
Supervisory authority
FMA Finanzmarktaufsicht Liechtenstein
FL-9490 Vaduz
www.fma-li.li
Category
Investment category
Fund of Hedge Funds
Investment universe
Global
UCITS target fund
no
SFDR Classification
Article 6
Settlement information
Valuation interval
monthly
Valuation day
Last business day of each month
Acceptance deadline for subscriptions
Monthly, on the 25th day of a month
Acceptance deadline for redemptions
60 calendar days prior to the end of a calendar quarter
Minimum investment
none
Value date
T+15
Key data
ISIN
LI0295783893
Security number
29578389
Bloomberg
CATALCH LE
WKN
A2PF6K
Legal Entity Identifier
529900QY88FDEH54A842
Fund charges
Issue premium
max. 1%
Redemption charge
max. 0.5%
Redemption charge credited to the fund’s assets
0%
Management fee
1%
Performance fee
10.00%
Hurdle rate
none
High watermark
yes
Administration fee
0.20% or min. CHF 25,000 p.a. plus CHF 5,000 p.a. per unit class from the 2nd unit class
Depositary fee
0.15%
OGC/ TER 1
3.81%
Performance-related fee
0.55%
TER 2
4.36%
OGC/TER at
31.12.2024
PTR
0.00%
PTR at
31.12.2024
Distribution
Distribution to private investors
LI
Distribution to professional investors
LI, CH
Sales restrictions
USA
Investment objective
Prospectus >>