Arcano Secondary Fund II
YEAR
2014
INVESTMENT STRATEGY
Seconaries (>80%) y co-investments (<20%)
GEOGRAPHICAL FOCUS
U.S.A. and Europe
PROGRAM SIZE
€100 millions
STATUS
Closed to new investors
AVAILABLE STRUCTURES
FCR: Spanish Fondo de Capital Riesgo regulated by the CNMV
TARGET RETURN
+15% IIR*
*The calculation of expected returns or target returns has been carried out by reference to the historical net performance of similar investment vehicles managed by Arcano. Furthermore, both negative and positive performance scenarios have been analysed in order to carry out this calculation.
The financial instruments to which the expected returns or investment objectives refer may involve, among others, the following risks: market risk, credit risk, valuation risk. Past performance is no guarantee of future performance.