Tel: +358 207343161

Northern Star Partners

Independent and active asset management in global markets

Emerging Markets Dynamic Opportunities

Investment Objective

The objective of the fund is to provide exposure to emerging market equities using an investment approach which is based on the business cycle.

Investment Policy

In addition to shares the fund can also invest in fixed income and commodity based instruments. The aim is to enhance the expected long term return. The equity exposure and the asset allocation are adjusted according to the investment manager's view on the business cycle. This view is combined with company selection which is based on fundamental analysis. 

Investment Team

Fund is managed by  Markku Malkamäki and Pertti Kilpeläinen

Important notice

Emerging Markets Dynamic Opportunities fund is targeted to the professional and well-informed investors only and no registration or effort has been made in order to make the Fund available for distribution or sale to retail investors. The Fund is not an investment fund as defined in the European Union directives relating to undertakings for collective investment in transferrable securities (UCITS) and do not qualify for retail distribution. The information on this web site is for information purposes only and shall not be regarded as a solicitation or an offer to buy or sell shares of the funds.

Facts and Terms

The fund currently has three different share classes.

  • “A-Class” accumulating
  • “B-Class” accumulating
  • “D-Class” accumulating

Additional share classes may be introduced at the discretion of the Fund Manager should investor demand arouse for them, for example due to demands for share classes denominated in currency other than euro.

A classB class D class
Fund Structure

Luxemburg SIF

Luxemburg SIF Luxemburg SIF
Base Currency EUR EUR EUR
Fund Launch Date 04.07.2012 30.12.2013 15.04.2016

Subscriptions/

Redemptions

Monthly Monthly Monthly
NAV Calculation Monthly Monthly Monthly
Minimum Subscription N.A. € 2 000 000 -
Management Fee 0.35% 1.0% 1.5%
Performance Fee

-

15% over benchmark rate p.q. with HWM

15% over benchmark rate p.q. with HWM

Subscription Fee - - -
Redemption Fee - - -
Payment

T-2 Subs / T+10 Reds

T-2 Subs / T+10 Reds

T-2 Subs / T+10 Reds

Bloomberg Ticker

NSOEMOA LX

NSOEMOB LX

NSOEMDC LX

ISIN Code

LU0706924577

LU0706925111

LU1390227343

How to subscribe

Julkaisujärjestelmä | Hakukoneoptimointi Netello