Disclaimer
Private Global Impact Solution (the “Sub-Fund”) is a sub-fund of Kempen Alternative Markets Fund SICAV RAIF (the “Fund”), domiciled in Luxembourg. Van Lanschot Kempen Investment Management NV is the manager of the Fund. Van Lanschot Kempen Investment Management NV is licensed as a manager and is supervised by the Dutch Authority for the Financial Markets (AFM).
The views expressed in this document may be subject to change at any time without prior notice. VLK Investment Management is not obliged to update the information contained in this document.
As an asset manager, VLK Investment Management may hold, typically on behalf of third parties, positions in financial instruments referred to in this document and may at any time decide to execute buy or sell transactions in these instruments.
This document is for information purposes only and does not provide a sufficient basis for an investment decision. It does not constitute investment advice or a recommendation, nor does it constitute research or an invitation to buy or sell financial instruments, and it should not be interpreted as such.
This document is based on information we consider to be reliable, but we do not guarantee that it is accurate or complete, and it should not be relied upon as such. The views expressed herein reflect our current opinion as of the date of this document. This document has been prepared independently, and the views expressed are solely those of VLK Investment Management.
General risks associated with investing in the Private Global Impact Solution: the Private Global Impact Solution invests primarily in a diversified pool of investment funds managed by third parties, with the main objective of achieving capital growth alongside positive social and environmental impact.
Investing in this strategy is subject to risks arising from the volatility of equity, bond, currency and interest rate markets, which may negatively affect performance. Under certain market conditions, specific risks may increase significantly.
The value of your investment may fluctuate. Past performance is not a guarantee of future results.
Potential investors should be aware that the underlying investment funds often pursue more alternative investment strategies than traditional funds. Certain investments, particularly private (non-listed) strategies, may involve assets that are illiquid, difficult to value and/or subject to high market, credit and liquidity risks, including the risk of insolvency.
In such circumstances, an investor’s ability to reduce or exit its position in the strategy may be limited due to a lack of available liquidity.