September 2018 result 0,54% YTD 9,46%

We are delighted to finally release the September NAV. On January 23rd, EPF did release the September NAV which had been approved by the new board of directors. EFA produced the September NAV but unfortunately took the decision not to release the related contract notes. EFA decided not to extend the service contract with...

CSFF authorised the Fund to be internally managed by its board of directors

Coincidental with the “termination with cause” by LFP I SICAV SIF (the “Fund”) of the appointment of its former external manager Alter Domus Management Company (“Alter Domus”) on 19 February 2019, the Luxembourg financial regulator (the “CSSF”) has accepted to register the Fund as alternative investment fund manager (“AIFM”) under article 3(2)(b) of the...

May 2018 result 0,97% YTD 6,54%

We are pleased to be able to publish the May NAV and confirm that we are approaching a more normal timescale for the releasing of the monthly NAV. You will note that the fund continues to suffer from a cash-drag but this is under control and performance will soon normalise. The change from LFP...

EPF April 2018 result 0,84%

We are pleased to advise that the April NAV has been released and performance for the month was 0.84%. A substantial inflow of funds, significantly in excess of that which was expected, has resulted in a temporary “cash drag” which has lowered performance a little. We are working together with Alter Domus to finalise...

EPF March 2018 result 2,07%

We  are pleased to confirm that the monthly performance for March was a solid 2,07% bringing the return for the first three months of the year to 4,73%. which is consistent with expectations. We are humbled to announce that another publication has presented EPF with an award, Wealth & Finance International named EPF as...

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