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|Fund Profile - EMEA/APAC only (ex-UK) - English||Download|
|Fund Profile - EMEA/APAC only (ex-UK) - Simplified Chinese||Download|
|Fund Profile - EMEA/APAC only (ex-UK) - Traditional Chinese||Download|
The material contained in this Website does not constitute an offer for sale. Please refer to the Prospectus of the KKR Private Markets Equity Fund SICAV SA and to the K-PRIME Feeder – I KID before making an investment decision.
There are several risks associated with investment in this Fund. Please refer to “Important Information – Risk Disclosures” at the bottom of the page for further information.
Key Information Documents
For investors based in the European Economic Area (EEA), please refer to the relevant EEA KIDs. For investors based in the United Kingdom (UK), please refer to the relevant UK KIDs. The UK KIDs are only available in English.
|CLASS||CURRENCY||TYPE OF SHARE||ISIN||VIEW EEA KID||VIEW UK KID|
Capital at Risk
We have classified this product as 6 out of 7, which is the second highest risk class. The risk indicator assumes you keep the product for 8 years. This rates the potential losses from future performance at a high level, and poor market conditions are very unlikely to impact our capacity to pay you.
Be aware of currency risk. You will receive payments in a different currency, so the final return you will get depends on the exchange rate between the two currencies.
Capital at risk. You could lose some or all of your investment. If the Fund is not able to pay you what is owed, you could lose your entire investment.
Please read carefully the "Risk Factors" section of the Fund Prospectus for other material risks relevant to the Sub-Fund not included in the summary. This product does not include any protection from future market performance so you could lose some or all of your investment. If we are not able to pay you what is owed, you could lose your entire investment.
In making an investment decision, investors must rely on their own examination of K-PRIME and the terms of the offering, including the merits and risks involved. Potential investors should not construe the contents of this website and/or the Prospectus as legal, tax, investment or accounting advice.
Summary of Investor Rights
A summary, in English, of investor rights and information on access to any collective redress mechanisms can be obtained at the following link.
This summary is not exhaustive and does not constitute legal advice. Investors should contact their professional advisers to understand their rights more fully.
Please refer to the Fund’s Prospectus for further details in respect of the Fund and its Sub-Fund.
Any decision to invest in the Fund should take into account all of the characteristics or objectives of the Fund as described in the Fund Documents, or other information disclosed to investors in accordance with the AIFMD, where applicable. For further information on KKR’s ESG policies and procedures, visit www.kkresg.com .
Please note that the Fund may decide to terminate the arrangements made for the marketing of the Fund in one or more Member States pursuant to the EU Alternative Investment Fund Managers Directive (Directive 2011/61/EU) (the “AIFMD”) marketing passport in accordance with the procedure provided for under the applicable laws that implement Article 32 of AIFMD.
KKR Alternative Investment Management Unlimited Company is authorized and regulated by the Central Bank of Ireland.
The registrations and memberships noted within this document should not be interpreted as an endorsement or approval of KKR by the respective licensing or registering authorities.
Italian Investor Notice
As required by Article 43a of the Directive 2011/61/EU on Alternative Investment Fund Managers, KKR Alternative Investment Management Unlimited Company has appointed FE fundinfo (UK) Limited to provide certain European facilities agent services in Italy in respect of the Fund.
The services to be provided by FE fundinfo (UK) Limited include:
- Facilitate processing of subscription, repurchase and redemption orders and making other payments to investors.
- Provide investors with information on the above and how repurchase and redemption proceeds are paid.
- Facilitate the handling of information relating to an investor exercising their investment rights.
- Act as a point of contact for communicating with regulators.
For any further information on the above services you can contact FE Fundinfo (UK) Limited at: [email protected].