Discovery range

Altalife 2023

Private Equity portfolio available in French life insurance and PER Assurance contracts
\closed since
31/12/2024

Discover Altalife 2023

Altalife 2023, the first FCPR in the Discovery range, offers a diversified private equity portfolio made up of international funds and co-investments in companies with strong growth potential, with no fees or carried.

With Altalife 2023, Altaroc offers both geographic and sector diversification, with liquidity guaranteed by insurers.

Altalife 2023 key points

Size
180 million euros
marketing period
Until December 31, 2024
duration
10 years
Eligibility
Eligible for French life insurance and PER Assurance
LEGAL FORM
An AMF-certified FCPR fund
minimum subscription
Amount defined by the insurer
SRRI classification
6
Classified
SFDR Article 8 fund
Performance fees
20% exclusively in co-investments
Management fees
2,5%
1st Closing
Successive closings
Depending on volumes still available
The Altalife 2023 offer is available to private clients through life insurance policies managed by leading French life insurers.
Private equity investments entail risks of liquidity and capital loss. To find out more about all the risks associated with private equity, visit our Private Equity Performance and Risks page.
Insurers

An offer distributed by a large number of insurers

The Altalife 2023 FCPR offers access to a portfolio of global private equity funds, usually inaccessible through life insurance contracts and retirement savings plans (PER).
Liquidity guaranteed at all times by the insurer,
100% of the FCPR fund is invested in Private Equity.
At Altaroc, we're delighted to be continuing our partnership with leading players.
180M€

Altalife 2023 portfolio

Target Vintage composition
50 to 80% allocated to five or six global Private Equity managers
20% to 50% allocated to co-investments, alongside managers selected for their track records
fund managers
19% in co-investments
geographies
Europe
North America
SECTORS
Technology and Software
B2B Services
Healthcare
B2C
This will be the legend
This will be the legend
This will be the legend
Target composition of the €500 million vintage
80% or €400m invested in top-quartile funds
20%, or €100m in co-investment
No items found.
Fund
fund managers

2 selected global funds

Objective
80% invested in two funds
FCPR Altalife 2023 is committed to 2 funds:

Hg Mercury 4, a mid-market fund from buyout managed by Hg, Europe's leading software fund manager.

Five Arrows Principal Investment IV ("FAPIIV"), a buyout mid-market fund run by the manager Five Arrows (Rothschild), which invests in the software, healthcare and business services sectors.

Both funds invest in Europe and also in the United States, accounting for 20-25% of their funds.

Private equity investments entail risks of capital loss and liquidity. Past performance is no guarantee of future results.
Five Arrows
51.51230942868651, -0.08900576046054165
Five Arrows

Five Arrows

the funds
Five Arrows Partners II
Five Arrows Principal Investors IV
15M€
Fund manager information
year of inception
2008
Offices
2
Assets under management
24 € billions
team
+220 people
Hg
51.50535195689056, -0.08055042883579441
Hg

Hg

the funds
HG Capital Genesis 10
53M€
HG Capital Saturn 3
50M€
HG Mercury 4
15M€
Fund manager information
year of inception
1997
Offices
3
Assets under management
+ $40Bn
team
+250 people
Co-investments
co-invesTmenT

4 co-investments made

Objective
20% invested
The co-investment portion of FCPR Altalife 2023 is invested in 4 companies:

‍Visma, an accounting, payroll and human resources software publisher with operations in Europe and Latin America

Diapason, a leading French publisher of cash flow and risk management software for large and mid-sized companies

Evoriel(ex Nexity ADB), a carve-out of the Nexity group's property administration business in France.

Howden, a leading insurance brokerage group, which operates across the entire value chain of the business (insurance, reinsurance, brokerage, consulting).

Private equity investment involves risks of capital loss and liquidity. Past performance is no guarantee of future results.
Diapason
Diapason
#StrongGrowth
Diapason offers a software solution that meets the needs of finance departments. It enables them to optimise liquidity management, automate payments, and manage the risks associated with their financial instrument portfolios.
fund manager
geography
Europe
Sector
Technology and Software
Howden
Howden
#A must-have
Howden is a leading insurance brokerage group, operating across the entire value chain (insurance, reinsurance, brokerage, consulting...).
fund manager
geography
Europe
Sector
B2B Services
Visma
Visma
#A must-have
Founded more than 25 years ago, Visma has gradually established itself as one of Europe's leading cloud software companies.
fund manager
geography
Europe
Sector
B2B Services
Evoriel (ex-Nexity ADB)
Evoriel (ex-Nexity ADB)
#A must-have
Nexity ADB is the former Personal Services division of the Nexity Real Estate group, focused on condominium management and rental leases.
fund manager
geography
Europe
Sector
B2B Services
companies

Our portfolio companies

By investing in Altalife, you'll be supporting the growth of promising small and medium-sized businesses in the sectors of the future.
Find out more about the French and international #Licornes that make up our portfolios. Discover also our companies in #HighGrowththat are disrupting their markets through #Innovative. Our portfolios are also built around companies that are #must-have companies you're bound to know, recognized for their #PositiveImpact on the world.
Springbrook
Springbrook
A leader in software solutions for U.S. municipalities
#A must-have
Founded in the USA in the 1990s, Springbrook specializes in software development for small and medium-sized American municipalities (5,000 to 25,000 inhabitants).
fund manager
geography
North America
Sector
Technology and Software
Evoriel (ex-Nexity ADB)
Evoriel (ex-Nexity ADB)
#A must-have
Nexity ADB is the former Personal Services division of the Nexity Real Estate group, focused on condominium management and rental leases.
fund manager
geography
Europe
Sector
B2B Services
GTreasury
GTreasury
One of the world's leading providers of cash management software solutions for mid-sized companies.
#A must-have
Founded in 1986 in the USA, GTreasury is one of the world's leading providers of treasury management software solutions ("TMS") for medium-sized companies.
fund manager
geography
North America
Sector
Technology and Software
JTL
JTL
One of Germany's leading ERP providers for the retail sector
#A must-have
Founded in 2008 in Germany, JTL is a vertical ERP provider targeting the retail sector.
fund manager
geography
Europe
Sector
Technology and Software
n2y
n2y
A U.S. leader in the creation of specialized educational programs
#ImpactPositive
Founded in 1996 in the United States, N2y offers targeted educational solutions for American students with special needs, from early childhood to high school.
fund manager
geography
North America
Sector
B2B Services
Expana (ex-Mintec)
Expana (ex-Mintec)
Leading independent provider of financial information on commodities and agricultural products
#A must-have
Founded in 1982 in the UK, Expana (formerly Mintec) is the leading independent provider of price and market data forecasting and analysis for commodities and agricultural products.
fund manager
geography
Europe
Sector
Technology and Software
CTAIMA
CTAIMA
A leader in the development of specialized software for subcontractor management
#Innovative
Founded in 2003 in Spain, CTAIMA is a leading technology and services company specializing in subcontractor management, occupational health and safety, ESG and compliance.
fund manager
geography
Europe
Sector
Technology and Software
Induce
Induce
One of Belgium's leading insurance brokers
#A must-have
Founded in 1990 by three Belgian families, Induver is an insurance broker with a B2B focus, targeting mainly SMEs.
fund manager
geography
Europe
Sector
B2B Services
CINC Systems
CINC Systems
A US leader in software development for HOAs
#A must-have
Founded in 2005 in the USA, CINC Systems offers American Homeowners Associations (HOAs) a cloud-based platform to simplify the management of their administrative tasks.
fund manager
geography
North America
Sector
Technology and Software
Rhymes
Rhymes
For over 25 years, Rimes has been an expert in financial data.
#StrongGrowth
Since 1996, Rimes has been designing and developing investment management and data analysis software solutions for financial institutions.
fund manager
geography
North America
Sector
Technology and Software

How FCPR Altalife 2023 works

Minimum subscription amount
The insurer determines the minimum subscription amount within the life insurance contract
Cash liquidity
The client may decide to sell Discovery shares at any time. The shares will be redeemed by the insurer at their net asset value.
Net asset value
The value of the client's shares is determined by the insurer, who receives the portfolio's net asset value from Altaroc every two months.
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Odyssey 2024
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Altalife 2023
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Odyssey 2022
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Odyssey 2021
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Odyssey 2023
Vitruvian
Thoma Bravo
Summit Partners
Vista
New Mountain Capital
Inflexion
Main Capital
Cressey & Company
TA Associates
STG
Accel-KKR
Five Arrows
Seven2
Nordic Capital
Hg
Insight Partners
Apax
CVC
General Atlantic
Bridgepoint
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General Terms and Conditions

This website, as well as all the information presented herein, is governed by French regulations. Certain jurisdictions prohibit or restrict access to this site. Therefore, please ensure that you are legally authorized to access it from the country where the connection is established.

This site presents information about the Funds managed or marketed by Altaroc Partners S.A. Such information does not constitute an offer, solicitation, investment advice, or recommendation to buy or sell financial products.

The Funds presented on our website cannot be subscribed to in any jurisdiction where their marketing has not been previously authorized.

Investors are reminded that past performance is not indicative of future performance and is not consistent over time. Our Funds do not offer any guarantee of return or performance and involve a risk of capital loss.

Past performance should not be the central factor in your investment decision. If you are interested in any of the Funds presented on this website, we advise you to ensure beforehand that you are legally permitted to subscribe to them.

This website allows you to view information only about Funds that are subject to a public offering in the selected country. This website is not intended for individuals subject to a jurisdiction where the publication or access to the website is prohibited due to their nationality or place of residence. Individuals accessing the website acknowledge that they are solely responsible for complying with the laws and regulations applicable in their country of residence and/or nationality.

This website is an informational site aimed at presenting the portfolio management activities of Altaroc Partners S.A., as well as the main characteristics of its Funds and services. No information or opinion expressed on this website constitutes a solicitation, offer, or recommendation to buy, sell, or transfer an investment, engage in any other transaction, or provide investment advice or services.

Before making any investment in a Fund, which by nature carries a risk of capital loss, we invite you to consult an investment advisor and review the Key Information Document (KID), the prospectus, and any additional information available on this website. A paper version may be requested from any authorized distributor or from the Management Company. These documents will be provided free of charge at any time upon simple request.

Please note that the information and documents available do not take into account your personal investment objectives, strategy, tax status, risk appetite, or investment horizon. Consult your personal advisor for investment advice.

Altaroc Partners S.A. reserves the right to modify the content at its discretion and without prior notice.

Investors are reminded that past performance is not indicative of future performance and is not consistent over time. Our Funds do not offer any guarantee of return or performance and involve a risk of capital loss. Past performance should not be the central factor in your investment decision.

This website is not intended for citizens or residents of the United States of America or for "U.S. Persons" as defined in "Regulation S" under the U.S. Securities Act of 1933. None of the Funds presented herein may be offered or sold directly or indirectly in the United States of America to residents and citizens of the United States of America or to "U.S. Persons."

By choosing to access our website, you acknowledge that you have read and accepted these Terms and confirm that you are accessing this website in compliance with the laws and regulations of the jurisdiction or country in which you reside.

Ce site, ainsi que toutes les informations qui y sont présentées, sont régis par la réglementation française. Certaines législations interdisent ou restreignent l’accès à ce site. Nous vous prions, par conséquent, de vous assurer que vous êtes légalement autorisés à vous y connecter dans le pays à partir duquel la connexion est établie.

Ce site présente les informations relatives aux Fonds gérés ou commercialisés par Altaroc Partners S.A. Elles ne constituent en aucun cas une offre, une sollicitation, ou un conseil en investissement, ni une recommandation d'achat ou de vente de produits financiers.

Les Fonds présentés sur notre site Internet ne peuvent être souscrits dans l’Etat dans lequel leur commercialisation n’a pas été préalablement autorisée.

Il est rappelé aux investisseurs que les performances passées ne préjugent pas des performances futures et ne sont pas constantes dans le temps. Nos Fonds n’offrent aucune garantie de rendement ou de performance et présentent un risque de perte en capital.

Les performances passées ne doivent pas être l’élément central de votre décision d’investissement.

Si vous êtes intéressés par l’un des Fonds présentés sur ce site, nous vous conseillons de vous assurer préalablement que vous êtes juridiquement autorisés à y souscrire.

Ce site vous permet de consulter uniquement les informations relatives aux Fonds qui font l’objet d’une offre publique dans le pays sélectionné. Ce site Internet ne s'adresse pas aux personnes relevant d'une juridiction dans laquelle la publication du site Internet ou son accès est interdit(e) en raison de leur nationalité ou de leur lieu de résidence. Les personnes accédant au site Internet savent qu'elles sont seules responsables du respect des lois et réglementations applicables dans leur pays de résidence et/ou de nationalité.

Ce site est un site d'information dont l'objectif est de présenter l'activité de gestion de portefeuille d’Altaroc Partners S.A. ainsi que les principales caractéristiques de ses Fonds et services. Aucune information ou opinion exprimée sur le site web ne constitue une sollicitation, une offre ou une recommandation d'acheter, de vendre ou de céder un investissement, de s'engager dans une autre transaction ou de fournir un conseil ou un service en matière d'investissement.

Avant tout investissement dans un Fonds, qui par nature présente un risque de perte du capital investi, nous vous invitons à consulter un conseiller en investissement et à consulter le Document d’Information Clé (DIC) et le prospectus ainsi que toute autre information supplémentaire, qui sont disponibles sur ce site internet. Une version papier peut être demandée auprès de tout distributeur autorisé ou auprès de la Société de Gestion. Ces documents seront fournis sans frais et à tout moment sur simple demande.

Veuillez noter que les informations et documents disponibles ne tiennent pas compte de vos objectifs d'investissement personnels, de votre stratégie, de votre statut fiscal, de votre appétit pour le risque ou de votre horizon d’investissement. Consultez votre conseiller personnel pour obtenir des conseils sur vos investissements.

Altaroc Partners S.A. se réserve la possibilité de modifier le contenu de façon discrétionnaire et sans préavis.

Il est rappelé aux investisseurs que les performances passées ne préjugent pas des performances futures et ne sont pas constantes dans le temps. Nos Fonds n’offrent aucune garantie de rendement ou de performance et présentent un risque de perte en capital. Les performances passées ne doivent pas être l’élément central de votre décision d’investissement.

Ce site Internet n'est pas destiné aux citoyens ou résidents des États-Unis d'Amérique ou à des «U.S. Persons» tel que ce terme est défini dans le «Regulation S» de la loi américaine de 1933 sur les valeurs mobilières. Aucun Fonds présenté ici ne peut être proposé ou vendu directement ou indirectement aux États-Unis d'Amérique à des résidents et citoyens des États-Unis d'Amérique et à des «U.S. Persons».

En choisissant d’accéder à notre site, vous reconnaissez avoir pris connaissance de ces Conditions et les avoir acceptées et vous confirmez que vous accédez à ce site Internet conformément aux lois et réglementations de la juridiction ou du pays dans lequel vous résidez.

This website, along with all the information presented herein, is governed by French regulations. Certain jurisdictions prohibit or restrict access to this website. Therefore, we kindly ask you to ensure that you are legally authorized to access it from the country where the connection is established.

This website provides information about the Funds managed or marketed by Altaroc Partners S.A. Such information does not constitute an offer, solicitation, investment advice, or a recommendation to buy or sell financial products.

The Funds presented on our website cannot be subscribed to in any jurisdiction where their marketing has not been previously authorized.

Investors are reminded that past performance is not indicative of future performance and is not consistent over time. Our Funds do not offer any guarantee of return or performance and involve a risk of capital loss.

Past performance should not be the central factor in your investment decision. If you are interested in any of the Funds presented on this website, we advise you to first ensure that you are legally permitted to subscribe to them.

This website allows you to access information only about Funds that are subject to a public offering in the selected country. This website is not intended for individuals subject to jurisdictions where the publication or access to the website is prohibited due to their nationality or place of residence. Individuals accessing the website acknowledge that they are solely responsible for complying with the laws and regulations applicable in their country of residence and/or nationality.

Before making any investment in a Fund, which by nature carries a risk of capital loss, we invite you to consult an investment advisor and review the Key Information Document (KID), the prospectus, and any additional information, which are available on this website. A paper version can be requested from any authorized distributor or from the Swiss Representative: 3Altasuisse SA - Rue François-Versonnex 7, 1204 Geneva (Switzerland). These documents will be provided free of charge upon simple request at any time.

The distribution of the Funds mentioned on this website in Switzerland is subject to the jurisdiction of Altaroc Partners S.A., whose registered office is located at 61 Rue des Belles Feuilles, 75016 Paris (France).

This website is an informational site aimed at presenting the portfolio management activities of Altaroc Partners S.A., as well as the main characteristics of its Funds and services. This website is not transactional.

Altaroc Partners S.A. reserves the right to modify the content at its discretion and without prior notice.

The subscription of shares or units in a Fund may involve risks. The net asset value of the Fund may increase or decrease depending on market fluctuations, and it is possible that investors may not recover the entirety of their invested capital. Furthermore, before any transaction, investors should:

• review the Key Investor Information Document (KIID) and the prospectus of each Fund to understand the exact nature of the selected vehicles, their main characteristics, and the associated risks; and

• ensure that the selected vehicles are suitable for their financial situation, investment objectives, and the risks they are willing to accept.

Investors are reminded that past performance is not indicative of future performance and is not consistent over time. Our investment funds do not offer any guarantee of return or performance and involve a risk of capital loss. Past performance should not be the central factor in your investment decision.

This website is not intended for citizens or residents of the United States of America or for "U.S. Persons" as defined in "Regulation S" under the U.S. Securities Act of 1933. None of the Funds presented herein may be offered or sold directly or indirectly in the United States of America to residents and citizens of the United States of America or to "U.S. Persons."

By choosing to access our website, you certify that you are a qualified investor domiciled in Switzerland and have read, understood, and accepted the legal conditions below. The information contained in the following pages relates only to the Funds managed by Altaroc Partners S.A. that are approved by the Swiss Financial Market Supervisory Authority (FINMA) for distribution in Switzerland, in accordance with Articles 119 et seq. of the Federal Act of 23 June 2006 on Collective Investment Schemes (CISA). Therefore, the information contained in the following pages is intended for "qualified investors" as defined in Art. 10, para. 3, let. c, d, para. 3bis, and FINMA Circular 13/9 No. 19.

Ce site, ainsi que toutes les informations qui y sont présentées, sont régis par la réglementation française. Certaines législations interdisent ou restreignent l’accès à ce site. Nous vous prions, par conséquent, de vous assurer que vous êtes légalement autorisés à vous y connecter dans le pays à partir duquel la connexion est établie.

Ce site présente les informations relatives aux Fonds gérés ou commercialisés par Altaroc Partners S.A. Elles ne constituent en aucun cas une offre, une sollicitation, ou un conseil en investissement, ni une recommandation d'achat ou de vente de produits financiers.

Les Fonds présentés sur notre site Internet ne peuvent être souscrits dans l’Etat dans lequel leur commercialisation n’a pas été préalablement autorisée.

Il est rappelé aux investisseurs que les performances passées ne préjugent pas des performances futures et ne sont pas constantes dans le temps. Nos Fonds n’offrent aucune garantie de rendement ou de performance et présentent un risque de perte en capital.

Les performances passées ne doivent pas être l’élément central de votre décision d’investissement.

Si vous êtes intéressés par l’un des Fonds présentés sur ce site, nous vous conseillons de vous assurer préalablement que vous êtes juridiquement autorisés à y souscrire.

Ce site vous permet de consulter uniquement les informations relatives aux Fonds qui font l’objet d’une offre publique dans le pays sélectionné. Ce site Internet ne s'adresse pas aux personnes relevant d'une juridiction dans laquelle la publication du site Internet ou son accès est interdit(e) en raison de leur nationalité ou de leur lieu de résidence. Les personnes accédant au site Internet savent qu'elles sont seules responsables du respect des lois et réglementations applicables dans leur pays de résidence et/ou de nationalité.

Avant tout investissement dans un Fonds, qui par nature présente un risque de perte du capital investi, nous vous invitons à consulter un conseiller en investissement et à consulter le Document d’Information Clé (DIC) et le prospectus ainsi que toute autre information supplémentaire, qui sont disponibles sur ce site internet. Une version papier peut être demandée auprès de tout distributeur autorisé ou auprès du Représentant en Suisse : 3Altasuisse SA - Rue François-Versonnex 7 1204 GENÈVE (Suisse).

Ces documents seront fournis sans frais et à tout moment sur simple demande.

La distribution en Suisse des Fonds mentionnés sur le présent site Internet relève de la juridiction du siège social d’Altaroc Partners S.A., situé au 61 rue des Belles Feuilles

75016 PARIS (France).

Ce site est un site d'information dont l'objectif est de présenter l'activité de gestion de portefeuille d’Altaroc Partners S.A. ainsi que les principales caractéristiques de ses Fonds et services. Ce site n’est pas un site transactionnel.

Altaroc Partners S.A. se réserve la possibilité de modifier le contenu de façon discrétionnaire et sans préavis.

La souscription de parts ou d'actions d'un Fonds peut comporter des risques. La valeur nette d'inventaire du fonds peut augmenter ou diminuer en fonction des fluctuations du marché et il est possible que les investisseurs ne récupèrent pas l'intégralité du capital investi. Par ailleurs, avant toute transaction, les investisseurs doivent :

- consulter le Document d'information clé pour l'investisseur et le prospectus de chaque Fonds afin de connaître la nature exacte des véhicules choisis, leurs principales caractéristiques et les risques encourus ; et

- s'assurer que les véhicules choisis sont adaptés à leur situation financière, à leurs objectifs d'investissement et aux risques qu'ils sont prêts à accepter.

Il est rappelé aux investisseurs que les performances passées ne préjugent pas des performances futures et ne sont pas constantes dans le temps. Nos OPC n’offrent aucune garantie de rendement ou de performance et présentent un risque de perte en capital. Elles ne doivent pas être l’élément central de votre décision d’investissement.

Ce site Internet n'est pas destiné aux citoyens ou résidents des États-Unis d'Amérique ou à des «U.S. Persons» tel que ce terme est défini dans le «Regulation S» de la loi américaine de 1933 sur les valeurs mobilières. Aucun Fonds présenté ici ne peut être proposé ou vendu directement ou indirectement aux États-Unis d'Amérique à des résidents et citoyens des États-Unis d'Amérique et à des «U.S. Persons».

En choisissant d’accéder à notre site, vous certifiez être un investisseur qualifié domicilié en Suisse et avoir lu, compris et accepté les conditions légales ci-dessous. Les informations contenues dans les pages suivantes se rapportent uniquement aux Fonds gérés par Altaroc Partners S.A ., approuvés par l'Autorité fédérale de surveillance des marchés financiers (FINMA) à des fins de distribution en Suisse, conformément aux Articles 119 et suivants de la Loi fédérale du 23 juin 2006 sur les placements collectifs de capitaux (LPCC). Par conséquent, les informations contenues dans les pages suivantes sont destinées aux « investisseurs qualifiés » au sens de l'Art. 10, al. 3, let. c, d, al. 3bis et de la Circulaire 13/9 N° 19 de la FINMA.

This website allows you to consult only the information related to the Funds that are subject to a public offering in the selected country. This website is not intended for individuals subject to jurisdictions where the publication or access to the website is prohibited due to their nationality or place of residence. Individuals accessing the website acknowledge that they are solely responsible for complying with the laws and regulations applicable in their country of residence and/or nationality.

This website is an informational platform designed to present the portfolio management activities of Altaroc Partners S.A., as well as the main characteristics of its Funds and services. No information or opinion expressed on this website constitutes a solicitation, an offer, or a recommendation to buy, sell, or transfer an investment, to engage in any other transaction, or to provide investment advice or services.

Before investing in a Fund, which by nature involves a risk of loss of the invested capital, we invite you to consult an investment advisor and to review the Key Information Document (KID), the prospectus, and any other supplementary information available on this website. A paper version can be requested from any authorized distributor or directly from the Management Company. These documents will be provided free of charge at any time upon request.

Please note that the information and documents provided do not take into account your personal investment objectives, strategy, tax status, risk appetite, or investment horizon. We recommend consulting your personal advisor for tailored investment advice.

Altaroc Partners S.A. reserves the right to modify the content of this website at its sole discretion and without prior notice.

Investors are reminded that past performance is not indicative of future results and is not constant over time. Our Funds do not offer any guarantee of returns or performance and involve a risk of capital loss. Past performance should not be the primary factor in your investment decision.

This website is not intended for citizens or residents of the United States of America or “U.S. Persons” as defined under “Regulation S” of the United States Securities Act of 1933. None of the Funds presented herein may be offered or sold, directly or indirectly, in the United States of America, to residents or citizens of the United States of America, or to “U.S. Persons.”

By choosing to access our website, you acknowledge having read and accepted these Terms and confirm that you are accessing this website in compliance with the laws and regulations of the jurisdiction or country in which you reside.

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