Gamma ODYSSEY

Odyssey 2024

Odyssey 2024 è aperta a clienti privati a partire da 100.000 euro.
\chiusura tra
000
J
00
H
\chiuso dal
31/03/2025
Ipotesi di rendimento PRIMA DELLE IMPOSTE
Al netto di tutti i costi, in media sui cicli economici
>13% all'anno
1.7impegno
L'investimento in private equity comporta dei rischi, soprattutto in termini di liquidità e di perdita di capitale.
Gli scenari presentati sono una stima della performance futura basata sui dati passati relativi alle variazioni del valore di questo investimento e/o alle condizioni attuali; non sono un indicatore esatto. I risultati ottenuti dipendono dall'andamento del mercato e dalla durata dell'investimento o del prodotto. La performance futura è soggetta alle imposte, che dipendono dalla situazione personale di ciascun investitore e possono cambiare in futuro. L'investimento può comportare una perdita finanziaria, poiché non vi è alcuna garanzia di capitale.

Scoprire Odyssey 2024

Odyssey 2024
Presentazione dell'annata Odyssey 2024
L'80% dell'annata di Altaroc Odyssey 2024 sarà costituito da 5-7 fondi di gestori internazionali nei segmenti growth e buy-out, mentre il 20% sarà costituito da co-investimenti insieme ai nostri gestori.

Al momento del lancio di Millésime, il team di investimento diAltaroc ha definito un universo di selezione dei fondi. Questa strategia è in linea con un approccio trasparente e offre una maggiore flessibilità per ottimizzare il ritmo di distribuzione di Millésime.

Un cambiamento strategico per l'Altaroc Odyssey 2024 Vintage è l'esposizione geografica target, che rimane bilanciata tra Europa e Stati Uniti, al 45% ciascuno, ma scende dal 20% al 10% per l'Asia e il resto del mondo.


I punti chiave di Millésime 2024

Dimensioni
500 milioni di euro
periodo di commercializzazione
Dal 04/04/2024 al 31/03/2025
durata
10 anni
Assicurazione vita Lussemburgo
Prodotti idonei per l'assicurazione vita in Lussemburgo con i principali assicuratori
Formato
FPCI
UCI Parte II ELTIF 2.0 (non commercializzato in Francia)
vedi caratteristiche
sottoscrizione minima
100 000€
Classificazione SSRI
6
Classificazione SFDR
Articolo 8
Commissioni di performance
20% esclusivamente sui coinvestimenti
Spese di gestione
Dal 2,5% all'1,65% all'anno, in funzione dell'importo sottoscritto dall'investitore
Primo closing
16 giugno 2023
Investimento di Altamir
30 milioni di euro
Closing successivi
In funzione dei volumi ancora disponibili
Il fondo è gestito attivamente e non è gestito in relazione a un indice di riferimento.

La gamma Odyssey è disponibile per i clienti professionali per natura o dimensione (come definiti dalla MiFID2) e per gli investitori privati con capacità di investimento di 100.000 euro, a condizione che le loro esigenze siano adeguate al prodotto e al periodo di investimento.

Questa è una comunicazione di marketing. Si prega di consultare la documentazione regolamentare e il documento contenente le informazioni chiave (KID) del fondo prima di prendere qualsiasi decisione di investimento. Una sintesi dei diritti degli investitori in relazione all'investimento è disponibile nel KID disponibile nella nostra libreria di documenti.

L'investimento in private equity comporta dei rischi, in particolare per quanto riguarda la liquidità e la perdita di capitale. Per conoscere tutti i rischi associati al private equity, consultare la pagina Performance e rischi del private equity.
UNIVERSITÀ DI SELEZIONE

Un universo di selezione di 10 fondi gestiti da primari gestori di fondi globali

Questa strategia è in linea con un approccio trasparente e offre una maggiore flessibilità per ottimizzare il ritmo di distribuzione del Vintage.

Altaroc si è quindi dato il tempo di costruire il portafoglio Odyssey 2024 Vintage, in particolare di selezionare i fondi che hanno iniziato o stanno per iniziare a investire, al fine di favorire il miglior ritmo di investimento possibile.

Questo universo di selezione non è definitivo e può cambiare nel tempo in base alle conclusioni della due diligence condotta dal team di investimento.
500M€

Il portafoglio Odyssey 2024

Composizione target dell'annata
80% investito in fondi del primo quartile
20% coinvestito con i nostri gestori di fondi
gestori
Co-investimenti
Fondi gestiti da manager di comprovata esperienza
geografie
Nord America
Europa
Resto del mondo
SETTORI
Tecnologia e software
Sanità
Servizi
Consumo
Questa sarà la leggenda
Questa sarà la leggenda
Questa sarà la leggenda
260 M€
gestori sottoscrittori

260 milioni già impegnati
a 4 gestori patrimoniali globali

Obiettivo
80% investito
Il team di investimento diAltaroc ha convalidato 4 gestori di fondi Buy-Out e Growth Equity che hanno un ampio track record e hanno dimostrato la loro capacità di generare rendimenti elevati, in modo costante nel tempo e con un basso tasso di perdita. Questi gestori si rivolgono ai settori in crescita della tecnologia e del software, della sanità, dei servizi e dei beni di consumo.

I 260 milioni di euro impegnati sono ripartiti tra 5 fondi, come segue:

70 milioni di euro in Vitruvian Investment Partners Vun fondo globale, ma prevalentemente europeo, di Growth & Buy-Out.
che investirà in società redditizie e in forte crescita nei 4 settori target di Altaroc Odyssey 2024: tecnologia, sanità, servizi e beni di consumo.

70 milioni di euro in Summit Partners Growth Equity FundXIIun fondo di Buy-Out e Growth che investe in Nord America. Summit XII investirà solo in società redditizie e in forte crescita nei 4 settori target di Altaroc Odyssey 2024.

45 milioni di euro in Thoma Bravo Discover Vun fondo di Buy-Out di fascia media dedicato al settore del software in Nord America.

40 milioni di euro in Thoma Bravo XVIun fondo Buy-Out large cap focalizzato sul settore del software nordamericano.

35 milioni di euro in Bridgepoint Development Capital Vun fondo di buy-out di fascia medio-bassa in Europa. BDC V investirà in società in crescita che sono leader in nicchie interessanti, con modelli di business tipicamente accelerati e guidati dalla tecnologia.

L'investimento in private equity comporta rischi di perdita di capitale e di liquidità. Le performance passate non sono garanzia di risultati futuri.
Vitruviano
Vitruviano
51° 30' 55.066 N 0° 9' 14.421" O
Vitruviano

Vitruviano

i fondi
Vitruvian Investment Partners V
70M€
Genesis
40M€
Informazioni sul manager
anno di creazione
2006
Uffici
8
Patrimonio in gestione
16 miliardi di euro
team
190
Presentazione di Vitruvio
Thoma Bravo
Thoma Bravo
37° 46' 29.748" N 122° 25' 9.912" W
Thoma Bravo

Thoma Bravo

i fondi
Thoma Bravo Scoprire V
45M€
Thoma Bravo XVI
40M€
Genesis
40M€
Informazioni sul manager
anno di creazione
1998
Uffici
6
Patrimonio in gestione
166 miliardi di euro
team
220
Vi presentiamo Thoma Bravo
Summit Partners
Summit Partners
42.35088898258897, -71.07321586047858
Summit Partners

Summit Partners

i fondi
Summit Partners XII
70M€
Genesis
40M€
Informazioni sul manager
anno di creazione
1984
Uffici
5
Patrimonio in gestione
37 miliardi di euro
team
239
Presentazione del gestore Summit Partners
Bridgepoint
Bridgepoint
51.513777400920496, -0.16024904511729007
Bridgepoint

Bridgepoint

i fondi
Bridgepoint Europa VII
80M€
Bridgepoint Development Capital V
35M€
Genesis
40M€
Informazioni sul manager
anno di creazione
1984
Uffici
10
Patrimonio in gestione
41 miliardi di euro
team
+360 persone
Intervista a William Jackson, presidente di Bridgepoint Group
Co-investimenti
coinvestimento

20% dell'annata in co-investimento

Obiettivo
20% investito
Altaroc continuerà a co-investire esclusivamente a fianco dei suoi fondi in portafoglio. L'obiettivo è quello di co-investire in società resilienti, posizionate nei settori con le più solide competenze e a fianco dei migliori partner dei gestori di portafoglio di Altaroc Odyssey.

L'investimento in private equity comporta rischi di perdita di capitale e di liquidità. Le performance passate non sono garanzia di risultati futuri.
Qlik
Qlik
Un leader mondiale nella business intelligence alimentata dall'intelligenza artificiale
Innovativo
Fondata nel 1993 e con sede in Pennsylvania, Qlik è leader mondiale nella business intelligence e nell'integrazione dei dati.
manager
geografia
Nord America
Settore
Tecnologia e software
società

I nostri vini d'annata

Investendo in Altaroc, sosterrete la crescita di piccole e medie imprese ad alto potenziale nei settori del futuro.
Scoprite i #Licorni francesi e internazionali che compongono le nostre annate eccezionali. Scoprite anche le nostre #AltaCrescitache stanno sconvolgendo i loro mercati attraverso #innovativo. I nostri portafogli sono costruiti anche intorno a società che sono #must-have che sicuramente conoscerete e che sono riconosciute per il loro #impatto positivo. #impattopositivo sul mondo.
Aspia
Aspia
Impresa innovativa specializzata nelle funzioni di back-office per le imprese
Innovativo
Fondata nel 2018 in Svezia, Aspia progetta soluzioni di outsourcing per le funzioni di back-office delle imprese.
manager
geografia
Europa
Settore
Servizi B2B
OAG
OAG
Un leader mondiale nell'analisi di dati per il settore del trasporto aereo
Da non perdere
Fondata nel 1929, OAG ha una lunga storia di raccolta e analisi di dati per l'industria del trasporto aereo.
manager
geografia
Europa
Settore
Tecnologia e software
Consulenti Aduro
Consulenti Aduro
Un leader nella gestione delle operazioni delle società di private equity
Innovativo
Fondata nel 2012 negli Stati Uniti, Aduro Advisors offre soluzioni software specializzate per la gestione delle operazioni delle società di private equity.
manager
geografia
Nord America
Settore
Tecnologia e software
ObjectiveHealth
ObjectiveHealth
Un'azienda leader nel supporto agli studi clinici negli Stati Uniti
Impatto positivo
Fondata nel 2018 negli Stati Uniti, ObjectiveHealth progetta soluzioni software per accelerare l'individuazione e il reclutamento dei pazienti che partecipano agli studi clinici.
manager
geografia
Nord America
Settore
Sanità
Gruppo Flowbird
Gruppo Flowbird
Un operatore globale nella gestione della mobilità urbana
Impatto positivo
Flowbird è un'impresa leader nata dalla fusione tra Easypark, un leader mondiale nel settore delle app di pagamento dei parcheggi, e Flowbird, un operatore globale della mobilità urbana.
manager
geografia
Europa
Settore
Servizi B2B
Redarbor
Redarbor
Leader sudamericano nel reclutamento online
Da non perdere
Fondata nel 2013 in Spagna, Redarbor è un'impresa leader nel campo delle assunzioni online.
manager
geografia
Europa
Settore
Servizi B2B
Programma di riabilitazione

Investire nel private equity per costruire ricchezza

Il programma Re-up consente ai vostri clienti di adottare la strategia di investimento in private equity dei maggiori investitori istituzionali, a partire da 310.000 euro.
Investire ogni anno in annate Odyssey
Autofinanziamento delle nuove annate a partire dal 6° anno: le distribuzioni delle vecchie annate finanziano le richieste di fondi per le nuove annate.
Entrate supplementari a partire dal 10° anno, a condizione che il cliente continui ad abbonarsi a Odyssey Vintages.
L'investimento in private equity comporta rischi di liquidità e di perdita di capitale. Le performance passate non sono garanzia di risultati futuri.
Relazioni con gli investitori
4 report finanziari
e 1 report ESG all'anno
Ogni trimestre, Altaroc mette a disposizione dei propri investitori un report finanziario completo sulle novità e sulle performance dei propri Vintage.
Questi report forniscono informazioni sulla valutazione, sugli ingressi e sulle uscite dal portafoglio, nonché notizie sulle società che sosteniamo.
Report n. 1
31 marzo
Report n. 2
31 maggio
Report n. 3
30 settembre.
Report n. 4
30 novembre
Report ESG
31 dicembre
La vita dell'investitore presso Altaroc
I Vintage Odyssey sono stati concepiti per rispondere alle esigenze specifiche dei clienti privati.

Sottoscrizione semplice e al 100% digitale, sistema semplificato di richiami di capitale e monitoraggio dell'andamento dei Vintage e delle notizie riguardanti le società sottostanti: tutto è stato pensato per offrire un'esperienza fluida e positiva sia ai nostri investitori che ai loro consulenti.
Perché offrire le gamme Vintage?
Perché le annate di Odyssey vengono distribuite così rapidamente?
Perché rivolgersi solo ai settori della tecnologia, della sanità, dei servizi B2B e del consumo digitale?
Tutte le annate Odyssey saranno simili?
#
Scoperta FCPR
#
Odyssey 2024
#
Altalife 2023
#
Odyssey 2022
#
Odyssey 2021
#
Odyssey 2023
Vitruviano
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
8 secondi per mostrarvi le informazioni più rilevanti sul nostro sito web
premere Invio
Selezionare il proprio paese di residenza fiscale
Francia
Francia
Regno Unito
Italia
Belgio
Paesi Bassi
Lussemburgo
Svizzera
Altro
Selezionare la propria lingua preferita
Francese
Inglese
Termini e condizioni generali

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.

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.

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.

Paese
---
Lingua
---
Esclusione di responsabilità
---
Termini e condizioni generali
Precedente
Scorrere verso il basso per accettare le condizioni generali
La pagina richiesta non è disponibile per il paese selezionato.