The Fund is not and will not be registered as an investment company under the U.S. Investment Company Act of 1940, as amended (the "1940 Act"). As a result, investors in the Fund will not receive the protections of the 1940 Act afforded to investors in registered investment companies. Additionally, interests in the Fund ("Interests") have not and will not be registered for public offer or sale under the U.S. Securities Act of 1933, as amended (the "Securities Act"), or with any state regulator. Interests are being offered and sold exclusively to U.S. persons that are "accredited investors," as defined in Rule 501(a) of Regulation D under the Securities Act ("Regulation D"). By clicking "accept and enter", any investor that is a “U.S. person,” as defined in Regulation S under the Securities Act, acknowledges having read the terms detailed above and represents that it qualifies as an “accredited investor” because it is one of the following:
Autus Capital Mauritius Ltd (henceforth referred to as the "Investment Manager") or Enora Global Fund (henceforth referred to as "the Fund") at their sole discretion, may change the terms, conditions and operation of this website (the "Site") at any time. By using this service, the user agrees to the terms of this disclaimer and further waives any rights or claims it may have against Autus Capital Mauritius Ltd (referred to as the "Investment Manager") or Enora Global Fund (referred to as "the Fund")
The content available through the Site is the sole property of the "Investment Manager" and/or "the Fund" and is protected by patent, copyright, trademark and other intellectual property laws. Except as otherwise explicitly agreed in writing, content owned by "Investment Manager" and/or "the Fund" received through the Site may be downloaded, displayed, reformatted and printed for your personal, non-commercial use only. .
THIS MATERIAL IS FOR GENERAL INFORMATION ONLY. This is not an offering, or the solicitation of an offer, to purchase an interest in any private investment fund managed by the Investment Manager or the Fund. Interests in any alternative investment vehicle are offered only pursuant to the terms of a Confidential Private Placement Memorandum (the “Memorandum”), which is furnished only to qualified investors on a confidential basis for their consideration in connection with the private offering of limited partnership interests and only in those jurisdictions where permitted by law. No person has been authorized to make any statement concerning any private placement other than as set forth in the Memorandum, and such statements, if made, may not be relied upon. The information contained on this website is qualified in its entirety by the more complete information contained in the Memorandum. This website is not an offer to sell or a solicitation of any interests in any private fund offered through the Investment Manager and the Fund .The Investment Manager and the Fund and its affiliates make no representation as to the accuracy or completeness of the information contained on this website.
The fees and expenses that are to be charged by an alternative investment Fund may be higher than the fees and expenses of other investment alternatives and may offset profits. There is no guarantee that the investment objective of the Fund will be achieved. The past performance of the Investment Manager and the Managing Partner should not be construed as an indicator of future performance of the Fund. Our investment management services relate to a variety of investments, each of which can fluctuate in value. The value of portfolios we manage may fall as well as rise and the investor may not get back the full amount originally invested. The investment risks vary between different types of instruments. For example, for investments involving exposure to a currency other than that in which the portfolio is denominated, changes in the rate of exchange may cause the value of investments, and consequently the value of the portfolio, to go up or down. In the case of a higher volatility portfolio the loss on realization or cancellation may be very high (including total loss of investment), as the value of such an investment may fall suddenly and substantially. In making an investment decision, prospective investors must rely on their own examination of the merits and risks involved. Statements herein that concern certain investment parameters or portfolio restrictions, including, but not limited, to statements concerning the use of leverage, should not be construed as permanently binding upon the Fund unless those investment parameters or portfolio restrictions are also disclosed in the final offering memorandum of the Fund. Presentations to potential investors or investors may contain numerous forward looking statements which only reflect the opinion of the Investment Manager and may not turn out to be accurate. No statement herein supersedes any statement to the contrary in the final offering document of the Fund.
Investors should note the following regarding alternative investments:
The list set before is not a complete list of the risks and other important disclosures associated with such investments and is subject to the more complete risk and disclosures contained in the applicable confidential offering documents.
Autus Capital Mauritius Ltd. and Enora Global Fund and its subsidiaries are not responsible for any unlawful distribution of this document to any third parties, in whole or in part. It is the policy of the Investment Manager and the Fund to have written advisory agreements. An investment advisory relationship between the Investment Manager or the Fund and any entity or person will commence upon successful execution of the advisory agreement. The Investment Manager and the Fund will not provide advice or enter into an advisory relationship until a written advisory contract is signed by the client. All information contained herein is confidential. The contents of the Investment Manager and the Fund website may not be reproduced or copied without the prior written consent of the Investment Manager and the Fund. Its content is confidential.
The present website has information pertaining to "Investment Manager" and/or "the Fund". It may be pointed out that Marketopper Securities Pvt Ltd (India) and Alpha OpenSource (Philippines) are technology partners (henceforth called “technology partners”). It is also possible that during the course of the working, display and maintenance of the website, information about the market performance of Technology partners may be asked for and/or may/could be uploaded, displayed, hosted, published, forwarded or transmitted in any manner whatsoever. It is hereby specifically stated that "Investment Manager" and/or "the Fund" are distinct legal entities from its technology partners.
Further, "investment manager" and/or "the fund" are independent of and have no connection, association, nexus or relationship of any kind whatsoever with the results of its technology partners. The members of the public are advised not to confuse or rely upon the market performance of technology partners as an indicator of the performance of "investment manager" and/or "the fund". The market performance of "investment manager" and/or "the fund" is going to be completely different in its scope, applicability, approach and ambit from the market performance of its technology partners. This is so because all the distinct legal entities have distinct market approaches in terms of taking risks and in terms of their approach to the market.
Without limiting the foregoing, "investment manager" and/or "the fund" shall not be liable to you or your business for any incidental, consequential, special, or punitive damages or lost or imputed profits or royalties arising out of the use of this site or any goods or services provided, whether for breach of warranty or any obligation arising there from or otherwise, whether liability is asserted in contract or tort (including negligence and strict product liability) and irrespective of whether you have been advised of the possibility of any such loss or damage. By using this website, you hereby waive any claims that these exclusions deprive such party of an adequate remedy.
"Investment Manager" and/or "the Fund" specifically disclaims any liability for any loss, injury or damage caused to any third legal entity on account of relying upon the market performance of its technology partners as an indicator, factor, parameter or for determining, projecting or predicting the market performance of "Investment Manager" and/or "the Fund" as also any liability for any loss, injury or damage caused as a result of handling, dealing or processing with any aspect pertaining to any activity of "Investment Manager" and/or "the Fund" or investing in the same interalia amongst others based on the perception of the market performance of its technology partners. It is hereby specifically stated that Technology partners are a distinct legal entity and their market performance is based on their specific market risk philosophy and approaches or perspectives. It is in the interests of the public, we hereby inform that the performance of "Investment Manager" and/or "the Fund" will be distinctly different diverse and not similar to the market performance of its technology partners, even though Technology partners is a mere technical consultant to "Investment Manager" and/or "the Fund"
You acknowledge and agree that at no time is "Investment Manager" And/or "The Fund" making any representation or warranty regarding any third party's products or services, nor will "Investment Manager" And/or "The Fund" be liable to you or any third party for any claims arising from or in connection with such third party products and services. You hereby disclaim and waive any rights and claims you may have against "Investment Manager" And/or "The Fund" with respect to third party products and services, to the maximum extent permitted by law.