Angel mountain Precious Metal Fund

The Fund invests primarily in precious metals and mining equities, focusing on junior and mid-sized precious metals companies. The investment objective of the Fund is to achieve medium to long term capital appreciation. The fund may, from time to time, also invest in selective private placements or pre-IPOs.

Fund

Approach

Investments are based on a fundamental research process that considers a wide variety of quantitative and qualitative investment criteria with an investment horizon of at least 3 to 5 years.

The fund takes long only positions, without leverage.

Fund

BenEfits

Participation in early stage of gold bull market. High beta to gold spot prices

Hedge against economic turmoil and system risk of fiat monetary system

Diversification to regular assets and asset classes

GOLD IS A GOOD ADDITION TO ANY DIVERSIFIED PORTFOLIO

Irrespective of whether you’re a Gold bull or bear, having Gold in your portfolio adds diversification, especially in times of market uncertainty or risk. 

Invest

With Us

Type

Equity Fund

Sector

Precious Metals

Region

Global

Currency

USD

Domicile

Cayman Islands

Investment Manager

Angelmountain Global Wealth AG

Minimum Investment

100,000 USD

Eligibility

Professional Investors and Licensed Entities

Invitation Only

Shares of the Fund will be only offered to invited investors

Class A – USD

ISIN KYG0447R1048
CUSIP G0447R104

Class B – CHF

ISIN KYG0447R1121
CUSIP G0447R112

Liquidity and NAV Calculation

Monthly

Annual Management Fee

1.5%

Performance Fee

15% subject to high water mark

Subscription and Redemption Fees

None

Fund Management Information:

Administrator

Swiss Financial Services, Ireland

Prime Broker

Cowen International, London

Prime Broker

Barclays Plc, London

Type

Monthly

Sector

Precious Metals

Region

Global

Currency

USD

Domicile

Cayman Islands

Investment manager

Angelmountain Global Wealth AG

Minimum Investment

100,000 USD

Eligibility

Professional Investors and Licensed Entities

Invitation Only

Shares of the Fund will be only offered to invited investors

Invitation Only

ISIN KYG0447R1048
CUSIP G0447R104

Class B – CHF

ISIN KYG0447R1121
CUSIP G0447R112

Liquidity and NAV Calculation

Monthly

Annual Management Fee

1.5%

Performance Fee

15% subject to high water mark

Subscription and Redemption Fees

None

Administrator

Swiss Financial Services, Ireland

Prime Broker

Cowen International, London

Custodian

Barclays Plc, London

Contact

Get In Touch

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