How to Invest

Subscriptions

For retail investors, subscriptions to GA Centre American Select Fund can be made through several private banks and fund platforms.

For institutional investors an application form can be downloaded from the fund documents page. Once completed, it should be sent to the Administrator, Credit Suisse Fund Services (Luxembourg) SA, list.amluxclientservice@credit-suisse.com.

All applications for Shares must be received by the Administrator no later than 4.00 pm (CET) on the Business Day immediately preceding the relevant dealing day.

Minimum investment

Founder share classes (USD F, EUR F, GBP F)
Only available for founder investors

Institutional share classes (USD I, EUR I, GBP I)
Minimum investment is $500,000 (or equivalent in GBP / EUR / CHF)

Retail share classes (USD R, EUR R, GBP R)
Minimum investment is $10,000 (or equivalent in GBP / EUR / CHF)

Dealing information

Dealing

Daily, no later than 4.00 p.m. (CET) on the Business Day immediately preceding the relevant Dealing Day.

Valuation

Close of business daily.

Regisration

Contract notes will normally be issued by the Administrator within 48 hours of dealing. Contract notes will serve as completion notice where the original signed application form is received by the Administrator. Share certificates shall not be issued.

Redemptions

Redemption instructions must be received by the Administrator no later than 4.00 p.m. (CET) on the Business Day immediately preceding the relevant Dealing Day.  A Dealing Day is every day which is a bank business day in Ireland and London. Redemption proceeds will usually be returned by the fifth Business Day following the relevant Dealing Day.

Codes

Share Class ISIN Bloomberg LEI
USD F LU2729162334 CEAEFCU LX 5493000LENBZ6E7KLW38
EUR F LU2729162680 CEAEFHE LX 5493000LENBZ6E7KLW38
GBP F LU2729162250 CEAEFHG LX 5493000LENBZ6E7KLW38
USD I LU2729162763 CEAEICU LX 5493000LENBZ6E7KLW38
EUR I LU2729162920 CEAEIHE LX 5493000LENBZ6E7KLW38
GBP I LU2729163498 CEAEIHG LX 5493000LENBZ6E7KLW38
USD R LU2729163142 CEAERCU LX 5493000LENBZ6E7KLW38
EUR R LU2729161872 CEAERHE LX 5493000LENBZ6E7KLW38
GBP R LU2729163068 CEAERHG LX 5493000LENBZ6E7KLW38

Fund Fees

Share Class Annual Management Fee Ongoing Charge Total Expense Ratio
Founder 0.75% TBC TBC
Institutional 1.00% TBC TBC
Retail 1.50% TBC TBC

Key Details

Fund Manager - Sub Advised

James Abate - Centre Asset management

Fund Inception

21-Nov-16

Strategy

Core US Equity Strategy With Downside Risk Mitigation

Structure

UCITS

Domicile

Luxembourg

Base currency

USD

Region focus

United States

Share classes

USD, GBP, EUR