Welcome to Lotus Global Investments Ltd
The Fund will attempt to create a balanced and broad-based portfolio by geographical areas, stages of investment and industrial sectors for risk and return consideration. A targeted Investee Company shall possess average growth rate sustainable to achieve the desirable return on investment. In general, the Fund will seek investment in sectors, which yield the best and optimal returns on the investment and investment portfolio. To diversify risks in the investment portfolio, the Fund will attempt to achieve a balanced portfolio by means of either country diversification or industry diversification, or a combination of both methods. The Fund may undertake purchases of both listed stocks and private equity positions, as well as debt and derivatives positions. The Fund will focus on securities which have a clear exit strategy. Where deemed conducive to long term stable returns, a concentrated sectoral or geographic investment exposure will be pursued.
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Investment Objective
Lotus Global Investments Ltd is an FSC regulated, open-ended Private investment company domiciled in Mauritius and licensed as a Collective Investment Scheme Expert Fund.
The Fund aims to create returns on investment through medium to long-term holdings of strategically acquired assets (5 years or more). The Fund has a focus on Emerging Markets, with a track record of over 20 years within that region.
The Fund pursues an opportunistic asset class allocation while keeping focus on country and industry diversification.
our fund
Lotus Global Investments Ltd is exclusively available to regulated financial intermediary investors domiciled in FATF acknowledged jurisdictions, meeting all relevant qualifications and requirements of the relevant legislation.
Key Facts
Type
Collective Investment Scheme Expert Fund
Min. Subscription
$100,000 USD
Fund Domicile
Republic of Mauritius
Total AUM (as per last published quarter)
US$ 934.23m (30/06/2024)
NAV per share (as per last published quarter)
US$ 137.61 (30/06/2024)
Founded
July 12, 1999
Management Fees
1% on NAV p.a.
Fiscal year end
30 June
Administrator
IQ EQ Fund Services (Mauritius) Ltd
Auditor
BDO & Co, Republic of Mauritius