Contenuti
1
/
0
Private Equity

Performance e rischi del private equity

Per saperne di più sulla performance e sui rischi di questa classe di attività
L'attività di Private Equity
Capire il private equity
L'attività di Private Equity
Rischi della classe di attività

I rischi del private equity

Rischio di liquidità

Il fondo investe principalmente in titoli di società non quotate. Questi titoli non sono liquidi e non esiste un mercato secondario che faciliti le transazioni. Pertanto, il Fondo potrebbe avere difficoltà a vendere le proprie partecipazioni al prezzo o nei tempi desiderati. Inoltre, poiché le vendite delle quote del fondo sono limitate ai sensi dell'articolo 9 del regolamento del fondo, sarà difficile per gli investitori vendere le proprie quote.

Rischio aziendale sottostante

Gli investitori si assumono un rischio imprenditoriale, legato alle società non quotate detenute direttamente e indirettamente dal fondo. Per loro stessa natura, le PMI sono generalmente più rischiose delle società più grandi. Inoltre, i titoli non quotati detenuti dal fondo sono valutati direttamente dalle società di gestione sulla base di prezzi di mercato stimati ("Fair Market Value") e non direttamente da un mercato organizzato.

Rischio di perdita di capitale

Il rischio di perdita del capitale è legato in particolare all'investimento in titoli non quotati. Poiché il fondo non offre alcuna garanzia di capitale, il capitale investito potrebbe non essere restituito in tutto o in parte.

Rischio di valutazione

Può essere difficile trovare riferimenti di prezzo adeguati per gli investimenti non quotati. Questa difficoltà può avere un impatto sulla valutazione del portafoglio di investimenti del fondo.

Rischio di performance

Gli obiettivi di investimento esprimono un risultato atteso, ma non vi è alcuna garanzia che tale risultato venga raggiunto. A seconda delle condizioni di mercato e del contesto macroeconomico, gli obiettivi d'investimento possono diventare più difficili da raggiungere.

Rischio di sostenibilità

Ai sensi del Regolamento SFDR, i rischi di sostenibilità si riferiscono a un evento o a una situazione ambientale, sociale o di governance che, se si verificasse, potrebbe avere un impatto negativo effettivo o potenziale sul valore degli investimenti effettuati dal fondo.
storia delle prestazioni

La performance storica del private equity

Performance storica dei fondi di private equity

La performance complessiva del private equity francese, misurata su 15 anni, è del 13,3%* in media all'anno, al netto di commissioni e carried interest. Ha sovraperformato le altre principali asset class, in particolare il CAC 40 (10,5%*) e il settore immobiliare (4,7%*). La classe d'investimento ha registrato una performance superiore anche a livello globale, con una media del +16,41%** su 10 anni.

Performance storica dei fondi del primo quartile

I fondi di private equity sono classificati in ordine di performance. Il quartile superiore corrisponde al 25% dei fondi. In Francia, i fondi del primo quartile hanno ottenuto un IRR medio annuo del 25,7%* dall'inizio. A livello mondiale, la performance del primo quartile ha oscillato tra il 14% e il 31%** per annualità negli ultimi 25 anni.

* Fonte: France Invest(studio di performance del 27 giugno 2024)
** Fonte: Pitchbook settembre 2023

L'investimento in Private Equity comporta rischi di liquidità e di perdita di capitale. Le performance passate non sono garanzia di risultati futuri.

I 4 segmenti del Private Equity

Creazione di valore

Le leve della creazione di valore nel Private Equity

Il private equity applica ricette senza tempo per la creazione di valore.
01
Tempo e risorse per individuare i settori promettenti e per analizzare e valutare le società più adatte a beneficiare delle tendenze settoriali a lungo termine, nonché per valutare i rischi di un potenziale investimento e il modo migliore per limitarli.
02
Aziende che stanno superando il proprio settore conquistando quote di mercato, grazie a prodotti innovativi, estendendo la propria portata geografica o trasformando digitalmente il proprio modello di business.
03
Un azionariato paziente e impegnato, meno preoccupato del mercato azionario dagli obiettivi di performance a breve termine, ma concentrato sulla creazione di valore complessivo a più lungo termine, in linea con una tesi di investimento e obiettivi dettagliati di creazione di valore.
04
La capacità di modificare i piani d'azione, se necessario, o di rafforzare il team di gestione perraggiungere gli obiettivi.
05
Una chiara delimitazione delle responsabilità tra management e azionisti, unita a obiettivi precisi e condivisi e a un sistema di remunerazione incentivante e strettamente legato alla creazione di valore.
06
Ricorso all'indebitamento per finanziare le acquisizioni e gli investimenti iniziali.
07
Vendita a operatori industriali identificati a monte e disposti a pagare premi strategici in vista di sinergie operative.
Prestazioni

Misurare la performance del private equity

La performance dei fondi di private equity si apprezza nel lungo periodo.
Il fondo impiega tradizionalmente il suo capitale in un periodo di 5 anni e anche il periodo di detenzione tradizionale è di circa 5 anni per ogni partecipazione.

Supponendo che il fondo realizzi in media 2 volte la sua partecipazione in ogni investimento, in genere restituirà tutti i fondi impegnati dai suoi sottoscrittori a partire dal 7° anno.

Gli investitori realizzeranno quindi plusvalenze sui loro investimenti a partire dall'8° anno.

Poiché le quote del fondo non sono quotate su un mercato liquido, gli investitori non possono misurare la redditività del loro investimento facendo riferimento al prezzo delle azioni.

La performance di un investimento di private equity si misura in termini di multiplo del capitale investito (MCI ) e di tasso di rendimento interno (IRR).

La vita di un fondo di private equity

Prestazioni

TVPI o multiplo di fondi

Le TVPI, ou Total Value Paid In,  se calcule ainsi :

TVPI = (Distributions versées + valeur estimée du portefeuille) / Montant total appelé.

Il se décompose en : TVPI = DPI + RVPI

Paid In : montant appelé auprès des investisseurs 

DPI (Distribution to Paid In) : Montant distribué aux investisseurs rapporté à leurs investissements dans le fonds 

RVPI (Residual Value to Paid In) : Juste valeur du fonds rapporté aux montants investis 

TVPI > 1 :
La somme de la valeur du portefeuille et des distributions réalisées est supérieure au capital investi ; le fonds est donc en position de gain en capital.

TVPI < 1 :
Le fonds n’a pas encore créé de valeur.
 Il TVPI è in aumento, riflettendo il valore creato nel tempo.

L'investimento in private equity comporta rischi di liquidità e di perdita di capitale. I risultati passati non sono garanzia di risultati futuri.

Confronto finale TVPI tra la media e il primo quartile di private equity
Prestazioni

TIR

Confronto del TIR netto tra la media e il primo quartile per il private equity
Il TIR è il tasso di rendimento interno.

Il TIR netto è il TIR realizzato da un sottoscrittore sul suo investimento in un fondo.

Considera :
tutti i flussi (negativi) relativi a ciascuna successiva chiamata di cassa
tutti i flussi (positivi) legati (i) alle distribuzioni e(ii) al valore residuo stimato delle quote detenute nel fondo alla data di calcolo (noto come valore patrimoniale netto delle quote).
A differenza del multiplo, incorpora quindi l'effetto tempo.

Nella misura in cui i flussi sono completi e netti per l'investitore, questo tasso è al netto delle commissioni di gestione e del carried interest.

Il valore patrimoniale netto di un portafoglio di PE (altrimenti noto come valore patrimoniale netto) si ottiene :
sommando i valori equi di ciascuna delle società detenute in portafoglio (determinati dalla società di gestione del fondo),
e deducendo il valore delle passività del portafoglio e il carried interest teorico dovuto al team di gestione.
A differenza dei mercati azionari, il valore equo delle società detenute dai fondi non fluttua quotidianamente. I due metodi più comunemente utilizzati per determinare il valore equo sono il metodo dei multipli e il metodo del flusso di cassa scontato (DCF).

L'investimento in private equity comporta rischi di liquidità e di perdita di capitale. Le performance passate non sono garanzia di risultati futuri.
Metodo di calcolo

Calcolo della performance del private equity

Il metodo dei multipli

Il metodo dei multipli consiste nello stimare il valore di una società confrontandola con società simili dello stesso settore, con società quotate (metodo dei multipli di borsa) e/o con società che sono state oggetto di recenti transazioni. Il calcolo viene effettuato applicando un multiplo alla base rilevante per la società in questione. Per molte società oggetto di LBO, l'indicatore appropriato è l'EBITDA e il multiplo utilizzato è il multiplo dell'EBITDA di società private o quotate comparabili. Questo approccio consente di determinare un intervallo di prezzo che un investitore sarebbe disposto a pagare per acquisire la società.

Il metodo DCF

Il metodo DCF consiste nello stimare il valore di un'azienda in base alla sua capacità di generare liquidità in eccesso. Questo metodo prevede la proiezione della somma dei flussi di cassa futuri che l'azienda genererà e la loro riduzione al valore attuale. Il metodo di valutazione DCF prevede quindi la determinazione del valore attuale dei flussi di cassa futuri che l'azienda genererà. Per definizione, si tratta di un metodo intrinseco, in quanto si basa sulla capacità dell'azienda di generare un flusso di cassa.
L'offerta di altaroc
Scoprite le nostre gamme di Private Equity
Private equity
Scoperta

FCPR Discovery è un prodotto di private equity ottimizzato per le assicurazioni vita e PER. Combina una liquidità controllata per il contraente e l'assicuratore con una sottoscrizione flessibile e una richiesta immediata di fondi.

Impegno minimo
Importo definito dall'assicuratore
Formato
FCPR approvato dall'AMF
Abbonati
Individui
Private equity
Odyssey

Ogni anno costruiamo un portafoglio globale di private equity altamente diversificato, performante e chiavi in mano.

IMPEGNO MINIMO
A partire da 100.000 euro
Formato
FPCI
UCI Parte II ELTIF 2.0 (non commercializzato in Francia)
vedi caratteristiche
Abbonati
Persone fisiche o giuridiche informate
Private equity
L'infinito

Investire nel private equity come i più grandi investitori istituzionali

È in preparazione un'offerta globale di private equity da svariati milioni di dollari.

impegno minimo
indefinito
Formato
indefinito
Abbonati
indefinito
Come spiega la performance del private equity?
Quali sono i rischi di un investimento in private equity?
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.