GPMF aims to generate growth over the long-term by investing in a diversified portfolio of private markets assets. The fund invests in five different sub-asset classes – private equity, private credit, infrastructure, real estate and natural resources; areas we believe are set to shine.
A multi strategy fund that covers the private markets spectrum
Why invest in our fund?
Full diversification
Investments span asset classes, strategies, geographies, and vintages through a mix of fund commitments, secondaries, direct and co-investments.
Institutional-grade assets
we use a structured, transparent process to source and manage a portfolio of high-quality assets with liquidity constraints.
Unlocked Access
Quarterly liquidity, lower minimum investments, clear fee schedule and platforms listing help remove barriers and broaden investor access.* The Fund is also available through multiple platforms.

Nalaka da Silva
Head of Private Markets Solutions
"Our strategy has been designed as a one-stop solution for investors seeking to diversify their allocation beyond traditional assets, such as equities and bonds. It can also serve as a core building block within a broader private markets allocation to provide diversification."
Nalaka da Silva
Head of Private Markets Solutions
Investment objectives
The Fund aims to generate growth over the long term by investing in a diversified portfolio of private market assets, with the potential to help investors build portfolio resilience. Please refer to the prospectus of the UCITS and to the KID / KIID for full detail on the risks.
Risks:
- Liquidity risk
- Suspension risk
- Private markets risk
Fund information
Explore the Fund information, pricing and performance details.

