News

No posts were found for provided query parameters.

12% p. a.

Expected return

5 years or more

duration

125 000 EUR or 1 000 000 CZK

Minimum investment

0–5%

entry fee

ADAX Fond firemního nástupnictví SICAV, a. s., podfond 1
The fund is managed by CODYA investiční společnost a.s.

Contact



David Fogad
Director of Investments and Operations Manager

david.fogad@adaxinvest.cz

+420 778 042 424

Billing informations:

ADAX Fond firemního nástupnictví SICAV, a.s. 
Headquarters: Na Florenci 23, Praha 1
Identification Number (IČO): 10735551

Company registered in the Commercial Register at the Regional Court in Brno, Section B, Insert 8529, on April 7, 2021

Manager and administrator
CODYA investiční společnost, a. s.
+420 513 034 190
+420 739 299 343
info@codyainvest.cz
Poňava 135/50
664 31 Lelekovice
More information at: www.codyainvest.cz

Official advisor to the fund
ADAX Capital Corporation s. r. o.

+420 778 042 424
david.fogad@adaxinvest.cz
Na Florenci 1332/23, Nové Město, 110 00 Praha
IČO: 19421818

Shares in business companies owned bz ADAX Succession FUnd SICAV, a.s., acting on behalf of ADAX Succession Fund SICAV, a.s., Sub-fund 1, registered in the Commercial Register at the Regional Court in Brno, Section B, Insert 8529, on April 7, 2021

This website is intended solely for informational and promotional purposes and is not an offer, solicitation, or recommendation for investment. Before making any investment decision, it is necessary to familiarize yourself with the fund’s and sub-fund’s statutes. Investing carries risks that may result in a decrease in the value of the investment and capital loss. The value of investment shares fluctuates over time, and historical sub-fund performance is not an indication or guarantee of future results. Investment in the sub-fund is subject to the risks stated int he fund’s and subfund’s statutes. The information contained in this document has been prepared with the utmost care but may be subject to change and updates, and neither the fund nor the manager provides any guarantee regarding its accuracy or completeness. The taxation of the fund is determined by law and may be adjusted in the event of a change in the law. The fund is intended for qualified investors pursuant to Section 272 of Act No. 240/2013 Coll., on investment companies and investment funds, as amended. If you intend to ivest and amount between 1,000,000 CZK and 125,000 EUR, the suitability of such investment for you will be assessed by the manager or administrator of the sub-fund. Before investing, you should carefully consider the investment strategy and risks associated with the investment objectives of the sub.fund, as stated in the statutes or other relevant documents. The key information document (KID) and fund statute are available on the fund’s website.