PREVALENT

INVESTMENT FUND SICAV

Based in Prague

ABOUT US

We are Czech investment fund for qualified investors with variable capital. The investment target of the Fund is a steady increase of the value of the funds contributed by its shareholders, and that is by investing in the envisaged high-return assets and corresponding risks without any sector and geographic restrictions, while especially focusing on the Asian region (including Mongolia, Kazakhstan and other countries), the region of Central and Eastern Europe. The fund focuses on investment in undervalued or growth-stage projects/business, with the intent of increasing their initial value.

WHY CZECH SICAV?

Czech fund structure is acceptable to foreign partners, investors and investees, particularly in Asia and CIS. Flexible SICAV structure allows tailoring the offer to investor’s needs and affords to separate distinct investors’ intentions and also provides several layers of investor protection. Favorable tax & cost structure provides considerable profit compared with other traditional locations for SICAV.

Advantages of the SICAV Investment Fund Over Other Funds

Flexibility of capital

SICAV funds can adjust their capital according to the needs and interests of investors by issuing or redeeming their shares. This allows a better response to market conditions and investor demand.

Access to a wider range of investments

SICAVs can invest in a variety of assets, allowing investors to diversify their portfolio more effectively than some other types of funds.

Tax efficiency

In many jurisdictions, SICAV funds have a favourable tax position, which means they can be more tax efficient for investors than other investment vehicles.

Liquidity

Thanks to the option to buy back shares by the fund, investors have more liquidity as they can sell their shares back to the fund at any time.

Transparency

SICAV funds are often regulated and require a high level of transparency, providing investors with clear information about the fund’s activities and performance.

Professional administration

SICAV funds are managed by professional managers who are experienced in selecting investments, which can lead to better outcomes for investors.

Risk allocation

By investing in a SICAV fund, investors can spread their investment risk across a wide range of assets, reducing the impact of individual investment failures on the overall portfolio.

Access to exclusive opportunities

Some SICAV funds may offer investments in assets or markets that are not readily available to individual investors, which may provide profitable investment opportunities.

OUR TEAM

Meet our team of professionals

Vladimir Bezdek

Chairman of the Board and Managing Director, AVANT Investment Company

Baurzhan Ibraev

Chairman of the supervisory board

Martin Kadlec

Member of Supervisory Board

David Urbanec

Member of Investment Committee

Iakov Adamovski

Member of Investment Committee

Alfred Brunclik

Member of Supervisory Board

Notice to investors

The Fund is a qualified investor fund pursuant to Act No. 240/2013 Coll., on Investment Companies and Investment Funds, and only a qualified investor pursuant to Section 272 of this Act may become a shareholder. In the case of an investment between CZK 1,000,000 and EUR 125,000, the suitability of such investment for the investor is assessed by the fund manager or administrator.

The Fund advises investors that the value of an investment in the Fund may go down as well as up and the return of the amount originally invested is not guaranteed. The performance of the Fund in previous periods does not guarantee the same or better performance in the future. An investment in the Fund is intended to achieve
return when held over the medium to long term and is therefore not suitable for short-term speculation. In particular, potential investors should consider the specific risks that may arise from the Fund’s investment objectives as set out in its constitution. The investment objectives are reflected in the recommended investment horizon, as well as in the fees and expenses of the Fund.

Detailed information is contained in the Fund’s Articles of Association and the Fund’s Key Information Document (KID). The Fund’s KID is available on the website http://www.avantfunds.cz/informacni-povinnost/. The information can be obtained in paper form from the registered office of AVANT Investment Company, Inc. CITY TOWER, Hvězdova 1716/2b, 140 00 Prague 4 – Nusle.

Information on the processing of personal data related to Act No. 110/2019 Coll., on the processing of personal data, can be found on the website of AVANT investiční společnost, a.s.

www.avantfunds.cz/gdpr/

Other important information for investors is available at:

https://www.avantfunds.cz/cs/dulezite-informace/.

The information provided is for information purposes only and does not constitute a proposal to conclude a contract or a public offer under the provisions of the Civil Code.