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This website is issued by V.E.C. Investments Ltd which is an Appointed Representative of Mirabella Financial Services LLP which is authorised and regulated by the Financial Services Authority (“FSA”).

The V.E.C Indian Special Situations Fund (the “Fund”) is defined as “Unregulated Collective Investment Scheme” (“UCIS”) and the promotion of a UCIS either within the UK or from the UK is severely restricted by statute. Consequently, this website is intended for Professional Clients and Eligible Counterparties as defined by the FSA and also to persons of a kind to whom the Fund may lawfully be promoted by an authorised person by virtue of Section 238(5) of the Financial Services and Markets Act2000 and COBS 4.12.1R. Shares in the Funds should only be purchased by persons with experience of participating in unregulated schemes and any other person who receives this document should not rely upon it.

This Fund is managed by Mirabella Financial Services LLP (the “Manager”). The portfolio manager of the Fund is Arun Mehra. This website is solely for informational purposes and does not constitute an offer to sell or a solicitation of an offer to buy any securities described herein. Such an offer may only be made through the Fund Memorandum, which describes the Fund, including its investment strategies, risk factors, fees, expenses, valuations and redemption provisions. Any decision to invest must be based solely upon the information set forth in the Fund Memorandum, which should be carefully reviewed by prospective investors and their professional advisors.

The past performance of the Fund is not indicative of the future results of the Fund. An investment in the Fund is subject to substantial and risks which are detailed within the Memorandum. The Memorandum is complex, and an investment in the Fund should only be made, if at all, after consultation by an investor with his or her financial, legal and tax advisors concerning the Memorandum.

The Fund is a speculative investment with limited liquidity that involves a high degree of risk. The Fund is a suitable investment only for financially sophisticated investors for whom an investment represents only a limited portion of the risk segment of their portfolios, who understand and are capable of assessing the risks of such investment, and are willing and financially able to commit to the Fund on a long-term basis, irrespective of changes in the general economic outlook and/or other factors.