GSA Coral has published its Annual Review for the 12 months to 31 December 2018. The Annual Review is intended to provide investors with up-to-date information regarding the GSA Coral Student Portfolio, including an overview of fund performance, an update on investment activity, the fund's ongoing strategy, recent market insight, and an update on the fund’s current global investment portfolio.
A very warm welcome to GSA Coral's Fund Review for the half-year ended 30 June 2018. This document provides investors with an overview of fund performance, as well as an update on investment activity, the fund's ongoing strategy, and recent market insight.
Under the Data Protection Legislation, GSA Coral Portfolio SICAV-SIF (the “Fund”) is required to provide an explanation as to why we require you to provide certain personal information (also known as “personal data”) relating to you; how we intend to use the personal information you provide to us; and whether or not we will share that information with anyone else.
We are pleased to provide the report to members of the GSA Coral Student Portfolio, on the fund's reporting status under the UK's Offshore Funds (Tax) Regulations 2009, Section 90, Chapter 7.
Coral Portfolio has recruited Ben Harvie as Head of Investment Management for Europe based in London, and Victor Lor as Head of Investment Management for Asia Pacific based in Hong Kong.
The stage is set for alternative funds: Coral Portfolio
The 1998 financial crisis in Asia and Russia threatened the whole world economy. Latin American countries defaulted on debt and stock markets globally nosedived, says John Kennedy, chief executive at Coral Portfolio.