To produce attractive investment returns from a portfolio of unquoted UK companies as well as, potentially, AIM and NEX quoted companies.
To proactively manage the assets of the fund with an emphasis on realising gains in the medium term to maximise distributions from capital gains and income generated from the assets of the Company.
To generate strong returns in both the quoted and unquoted portfolios, maintaining an appropriate risk exposure and ensuring liquidity in the portfolio to free up cash for qualifying investments as they arise.
To produce regular tax-free income distributions from a portfolio of unquoted companies in the United Kingdom.
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