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.
Fund information
Explore the Fund information, pricing and performance details.
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

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

