Key Information for Investors

The Sri Lanka Opportunity Fund (UCITS) provides full disclosure through regulated documentation, updated regularly in line with UCITS standards.
Prospectus

Comprehensive details of the Fund’s structure, objectives, and governance.

PRIIP KID (Key Investor Document)

Clear summary of risks, costs, and investor profile.

Monthly Factsheet

Performance updates, portfolio breakdown, and market commentary.

Semi-Annual Report

Reviewed financial statements and management updates.

Annual Report

Full audited report including accounts, risk review, and outlook.

Fund Snapshot
Structure

UCITS, FMA Liechtenstein, daily dealing.

Key Parties

CAIAC (ManCo), ACP Corrum (AM), Bank Frick (Depositary), Grant Thornton (Auditor).

Share Classes

A-EUR / USD / GBP / AED (ISINs, min investment, fees, cut-offs).

Fees

Mgmt fee, other charges (see docs).

Portfolio & Performance
Performance Chart

Since inception + YTD; benchmark toggles

Allocation

Equities vs Fixed Income; Top sectors; Top holdings (5–10).

Risk/Stats

Volatility, drawdown, beta.

Dealing Info

Subscription/redemption, NAV calc, T+ settlement.

Sri Lanka Opportunity Fund logo for ACP Corum investment and growth finance UCITS.

Invest Confidently in Sri Lanka’s Growth Story

With ACP Corrum’s global stewardship and UCITS governance, the Sri Lanka Opportunity Fund offers investors a rare combination of frontier potential and institutional oversight.

Compliance Strip
Past performance is not indicative of future results. Investing in frontier markets involves significant risks, including currency, liquidity, and political/regulatory risks. Please review Prospectus and KID before investing.