Nevis Fund Nevis-T Fund

The Nevis Fund is open to Canadian institutional investors, specifically pension funds and other retirement-related investors who have a nontaxable status. The fund’s assets are managed as a pool, and investors hold units proportional to their investments. A trust deed sets the rules of the fund, and the trustee is State Street Trust Company Canada.

This fund is managed using the Global Relative Return strategy, and the market value of the units is calculated daily. If the client so wishes, income can be distributed monthly. Initial contributions must be greater than 5 million $.

If you are an accredited investor who can meet the minimum requirements of the Nevis Fund, we invite you to contact us at information@presima.com.

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