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Corpfin Capital Asesores, S.A., S.G.E.C.R.

PRI reporting framework 2017

You are in Strategy and Governance » Investment policy

Investment policy

SG 01. RI policy and coverage (Not Completed)


SG 02. Publicly available RI policy or guidance documents (Not Completed)


SG 03. Conflicts of interest

03.1. Indicate if your organisation has a policy on managing potential conflicts of interest in the investment process.

03.2. Describe your policy on managing potential conflicts of interest in the investment process.

Conflicts of interest and prohibited investments:

Principles:

1.- Limits on the dealing in shares of investee companies. The Manager and the Corpfin Team shall (and shall cause the respective Corpfin Affiliates controlled by them to):
(i)Refrain from buying, holding or dealing in any securities or other investments if the Funds holds the same or similar securities issued or created by the same investee entity; and
(ii)During the Commitment Period refrain from investing in any securities or other investments issued or created by any company falling within the scope of the investment policy of the Funds; and

The Manager, the Corpfin Team and Corpfin Affiliates shall present to and have the FCR pursue any investment opportunity that the Investment Committee reasonably believes is appropriate for the Fund.

2.- No investments in companies participated by managers

3.- No acquisition of shares by the Manager, the Corpfin Team or the Participants

4.- General supervision by the Advisory Committee.

03.3. Additional information. [Optional]


SG 04. Identifying incidents occurring within portfolios (Private)


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