EMUN Global Private Infrastructure


  • The EMUN Global Private Infrastructure OPF ("GPI" or the "Fund") is a Private Infrastructure ("PI") investment fund. GPI targets investments in global funds with a focus on assets in the digital infrastructure (datacenters, telecom towers, fiber optic networks), energy (PV, wind, midstream) and transportation (highways, airports, ports) sectors. Due to its focus and risk profile, GPI can serve as a complement to a diversified portfolio of commercial real estate investments such as logistics, office or retail.
  • The fund focuses on investment cooperation with respected global asset managers with many years of experience in private markets. GPI's investment activity includes the selection and monitoring of asset managers' performance and active portfolio management leading to optimized managerial, sector and strategic diversification within the available Private Infrastructure sub-strategies.
  • GPI combines investments across the full spectrum of Private Infrastructure strategies and megatrends. Within its core investment themes (digital, energy, transportation), the Fund aims to create a balanced mix between Core/Core+ strategies (stabilized strategic assets with inflationary clauses and no technology risk), Value-add/Opportunistic (value-added projects such as development or distress) and Infrastructure Secondaries (discounted buyouts in third-party infrastructure funds). With its strategic asset mix, GPI targets performance above Core strategies with limited incremental risk.
  • GPI is an evergreen open-ended structure with quarterly valuations and the ability to make ongoing subscriptions and redemptions. The fund provides access to large global institutional funds without the need to manage capital calls.

Fund classes

Fund information

Název fondu EMUN Global Private Infrastructure otevřený podílový fond
Typ fondu Fond kvalifikovaných investorů
Správce EMUN investiční společnost, a.s.
Administrátor EMUN investiční společnost, a.s.
Depozitář Československá obchodní banka, a.s.
Auditor Kreston A&CE Audit, s.r.o.
Dohled Česká národní banka
Doporučená doba držení 5 let
Rizikový profil (SRI) 3 ze 7

Key terms

Název třídy USD
Měna USD
Minimální doporučená investice 500 tis. USD
Oceňovací období, úpisy/odkupy Čtvrtletní 
Management fee 1,1 %
Performance fee 10 % ze zisku při hurdle rate 5% p.a., aplikováno při výstupu
Vstupní poplatek do 1 mil. USD max. 2 %  
Vstupní poplatek nad 1 mil. USD 0 %
Výstupní poplatek

20 % z hodnoty odkupu do 3 let od emise.

0 % po uplynutí 3 let od emise.

Documents

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