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HQ Capital

PRI reporting framework 2017

You are in Strategy and Governance » Investment policy

Investment policy

SG 01. RI policy and coverage

New selection options have been added to this indicator. Please review your prefilled responses carefully.

01.1. Indicate if you have an investment policy that covers your responsible investment approach.

01.2. Indicate the components/types and coverage of your policy.

Select all that apply

Policy components/types

Coverage by AUM

01.4. Indicate what norms you have used to develop your investment policy that covers your responsible investment approach.

01.6. Provide a brief description of the key elements, any variations or exceptions to your investment policy that covers your responsible investment approach. [Optional]


SG 02. Publicly available RI policy or guidance documents

New selection options have been added to this indicator. Please review your prefilled responses carefully.

02.1. Indicate which of your investment policy documents (if any) are publicly available. Provide a URL and an attachment of the document.

02.4. Additional information [Optional].


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.

Because HQ Capital is dedicated solely to investing in alternative investment strategies, we are generally able to avoid conflicts of interest inherent in firms that operate several financial services business lines. Certain conflicts may still arise from our management of HQ Capital-sponsored or advised funds from certain risks related to performance allocations (i.e., carried interest) and from the presence of a diverse limited partner group in the fund. Each fund's private placement memorandum contains detailed information about these and other potential conflicts of interest and how they are handled. Further, HQ Capital's internal Compliance Manual and Code of Ethics, govern the activities of the firm's employees and treatment of clients, including the management of any conflicts of interest.  

03.3. Additional information. [Optional]


SG 04. Identifying incidents occurring within portfolios (Private)


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