This site has been prepared solely for information purposes. Under no circumstances should any material at this site be used or considered as an offer to sell, or solicitation of an offer to buy any security, including the securities issued by Meridon Funds SICAV p.l.c. (the “Fund”), nor shall it be considered as a public offering of any securities.
This site may include information that is based, in part or in full, on hypothetical assumptions, models and/or other analysis of the Fund (which may not necessarily be described herein), no representation or warranty is made as to the reasonableness of any assumptions, models or analysis. The information contained was gathered from various sources which the Fund believes, but does not guarantee, to be reliable; moreover, the information is in summary form for convenience of presentation, it is not complete and it should not be relied upon as such.
The content of this site may contain statements that, to the extent that they are not recitations of historical fact, constitute “forward-looking statements“ within the meaning of applicable foreign securities legislation.
Forward-looking statements are based on assumptions and analyses made by the Fund in light of its experience and perception of historical trends, current conditions of the market and expected future developments, as well as other factors it believes are appropriate in the circumstances. However, whether actual results and developments will conform to our expectations and predictions is subject to a number of risks, assumptions and uncertainties.
In evaluating forward-looking statements, readers and potential investors should specifically consider the various factors which could cause actual events or results to differ materially from those indicated. Unless otherwise required by applicable securities laws, we do not intend, nor do we undertake any obligation, to update or revise any forward-looking statements to reflect subsequent information, events, results or circumstances or otherwise.
Investors who consider investing in the securities issued by the Fund should seek professional investment and legal advice and thoroughly review the Fund’s offering memorandum, articles of association and other offering documents (collectively the “Memorandum”). The Memorandum should be read in its entirety, along with all its exhibits, before any person/investor decides whether to invest in any related securities. Any decision by an investor to buy any securities issued by the Fund must be made (apart from professional investment advice provided to such investor by a reputable third party) solely on the basis of the information and terms contained in the Memorandum. Investors must meet certain qualifications to be eligible to subscribe for the securities issued by the Fund.
Investing in the securities issued by the Fund might be subject to certain restrictions and regulations in different jurisdictions. Any person investing to the securities is obliged to meet the requirements of the laws directly applicable to the investor and the securities. Prospective Investors are urged to seek independent professional advice as regards both Maltese and any foreign legislation applicable to the acquisition, holding and disposal of any securities issued by the Fund as well as distributions, if any, made by the Fund prior to a subscription.
The securities issued by the Fund have not been and will not be registered under the United States Securities Act of 1933, as amended or under any state securities law. The Fund is not a registered investment company under the United States Investment Company Act of 1940.
Potential investors of the securities issued by the Fund shall be aware of the fact that the past economic performance of the Fund is published solely for information purposes and does not grant and/or predict any future economic performance of the Fund.
All information, including performance information, contained in this document has been prepared in good faith; however the Fund makes no representation or warranty express or implied, as to the accuracy or completeness of the information, and nothing herein shall be relied upon as a promise or representation of future performance.
The information contained at this site is intended to be made accessible only to a person, to whom it has been given directly by the Fund or any person acting lawfully on its behalf. The Fund is not liable for any damages resulting from the usage of all information contained at this site by any person. Potential investors should be aware that investments are linked to the higher risk and thus they are appropriate only for experienced investors being aware of such risk which may lead even to the loss of the whole investment.