The Suntera High Income Fund Plc and the Suntera Sterling Roll-Up Fund Plc (previously known as the SMP High Income Fund Plc and the SMP Sterling Roll-Up Fund Plc prior to 4th January 2021) were recognised for distribution in the United Kingdom by the Financial Conduct Authority up to 4th October 2022 but were de-recognised on that date following the completion of the winding up process. In connection with the Funds former FSA recognition, the Funds continue to maintain historical information at the offices of GemCap UK Limited, 33 Turner Street, Manchester M4 1DW. Such facilities enable, among other things (during normal business hours):
(a) the inspection (free of charge) and the obtaining (free of charge) copies in English of:
(i) the last prospectus dated 04 January 2021;
(ii) the latest annual reports and final statements of account.
|HIF Statement of account with audit report 2022 07 27 FINAL Approved||AML Documentation||aml-documentation-suntera suntera|
|SRUF Statement of account with audit report 2022 07 27 FINAL Approved||AML Documentation||aml-documentation-suntera suntera|
|WINDING UP OF HIF FUND AND SUSPENSION OF DEALING (26-May-2022)||AML Documentation||aml-documentation-suntera suntera|
|WINDING UP OF SRUF FUND AND SUSPENSION OF DEALING (26-May-2022)||AML Documentation||aml-documentation-suntera suntera|
|Suntera Sterling Roll-Up Fund Plc – Scheme Particulars January 2021||Prospectus||prospectus-suntera suntera|
|Suntera High Income Fund Plc – Scheme Particulars January 2021||Prospectus||prospectus-suntera suntera|
|HIF Abbreviated Annual Report 30-09-21||Supplements||supplements-suntera suntera|
|HIF Financial Statements 30-09-21||Supplements||supplements-suntera suntera|
|SRUF Abbreviated Annual Report 2021-08-21||Supplements||supplements-suntera suntera|
|SRUF Financial Statements 2021-08-31||Supplements||supplements-suntera suntera|
The information contained on this website is for professional investors only and should not be circulated to retail investors.
Please remember that the value of investments and the income from them can fluctuate (this may partly be the result of exchange rate fluctuations) and you may not get back the full amount invested. Past performance is not a guide to the future.
Where GemCap UK Ltd. has expressed its own views and opinions, these may change.
The funds are not offered for sale in the USA, its territories or possessions nor to any US persons including citizens of the United States, nor in any jurisdiction in which the fund is not authorised to be publicly sold. The funds are available only in jurisdictions where their promotion and sale are permitted.
The information contained in the website may not be redistributed directly or indirectly to any citizen or resident of the United States or any other jurisdiction where its distribution may be restricted by law. It is the responsibility of persons accessing the website.
This website and the information contained herein does not constitute an offer or recommendation or invitation to purchase any funds or products.
Disclaimer for Investors in Switzerland
GemCap Investment Funds (Ireland) Plc and its sub-fund, the Third Avenue Real Estate Value Fund, has been approved by the Swiss Financial Market Supervisory Authority FINMA (“FINMA”) for distribution to Swiss non-qualified investors.
This website may contain advertising.
Swiss investors may obtain free of charge from the representative and paying agent in Switzerland, RBC Investor Services Bank S.A., Esch-sur-Alzette, Zweigniederlassung Zürich, Bleicherweg 7, CH-8027, Zurich, the relevant fund documents, namely the prospectus, the “KIID”, the articles, as well as the annual and semi-annual reports..
Past performance results are no indication of future results. Issuance and redemption commissions are not included in the performance figures. Performance results referring to a period of less than twelve months (year-to-date-performance, start of investment fund within the last twelve months) are no reliable indicator for future results due to the short comparison period.
Additional information for Qualified Investors in Switzerland:
In respect of Coeli SICAV I and its sub-funds, Frontier Markets Fund, Energy Transition Fund and Multi Asset Fund, Qualified Investors may obtain free of charge from www.coeli.com the relevant fund documents, namely the Prospectus, the KIID, the Deed of Incorporation, as well as the annual and semi-annual reports.
In respect of AtonRa SICAV and its sub-fund, AtonRa Fund, Qualified Investors may obtain free of charge the Prospectus for Switzerland and the Key Investor Information Documents for Switzerland, the Articles of Incorporation, the annual and semi‐annual report, the list of the purchases and sales and further information from the representative in Switzerland: Carnegie Fund Services S.A., 11, rue du Général‐Dufour, 1204 Geneva, Switzerland, web: www.carnegie‐fund‐services.ch. The Swiss paying agent is Banque Cantonale de Genève, 17, quai de l’Ile, 1204 Geneva.
The below-mentioned investment funds, which are also disclosed on this website, are neither registered with FINMA nor under contract for representation to Swiss investors. These investment funds may not be distributed neither to Swiss non-qualified and qualified investors nor exclusively to Swiss qualified investors:
GemCap Investment Funds (Ireland) Plc
Atlantic House Defined Returns Fund
Atlantic House Total Return Fund
Atlantic House US Enhanced Equity Fund
Causeway Defined Growth Fund
Calamos Global Convertible Fund
GSI Global Sustainable Value Fund
London & Capital Global Balanced Fixed Income Fund
London & Capital Global Conservative Fixed Income Fund
London & Capital Global Defensive Equity Fund (this Fund has terminated and accordingly, Shares in this Fund are no longer available for investment)
London & Capital Global Growth Fund
London & Capital Global Growth Fixed Income Fund
London & Capital Global Star Equity Fund
London & Capital Global Balanced Fund
Principal Asset Allocation Fund
Semper Total Return Fund
Coeli SICAV I
Nordic Corporate Bond Fund
Global Select Fund
SMP High Income Fund Plc
SMP Sterling Roll Up Fund Plc
The Gemini website and material (including information from third parties) is provided ‘as is’, without any representation or endorsement made and without warranty of any kind whether express or implied, including, but not limited to, the implied warranties of satisfactory quality, fitness for a particular purpose, non-infringement, compatibility, security, completeness and accuracy.
We do not guarantee or represent that the functions contained in the material available on this site will be uninterrupted or error free, that defects will be corrected, or that this site or the server that makes it available are free of viruses or represent the full functionality, accuracy or reliability of the materials.
In no event will we be liable for any loss or damage whatsoever arising from use arising out of or in connection with the use of this website or reliance on its content.
No data transmission over the internet can be guaranteed as totally secure. Whilst Gemini strives to protect such information, we do not guarantee and cannot ensure the security of any information which you transmit to us. Accordingly, any information which you transmit to us is transmitted at your own risk.
The Gemini website is not a substitute for independent professional advice and users should obtain any appropriate professional advice relevant to their particular circumstances.
The information on this site is issued by GemCap UK Ltd, which is registered in England and Wales No. 6795280. The registered address for the company is 33 Turner Street, C/O Brierley Coleman & Co, Manchester, M4 1DW.
GemCap UK Limited is authorised by the FCA under reference number 924419 as an Appointed Representative of Connexion Capital LLP FCA Reference number 480006.