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investors and AFA services
At AFA, disclosure and transparency are crucial to how we conduct our business. In keeping with our mission statement, we understand the alternative investment fund industry and we rely on our experience and expertise to enhance fund operations and ensure a seamless relationship with fund managers and investors alike.
The relationship between an Administrator, Investment Advisor and Investors, is something that AFA places a lot of emphasis on. We believe that Investors in the funds we administer rely on us to operate in a responsible and responsive manner. We value the level of professionalism and integrity we bring to assist Investment Advisors in ensuring their Investors receive the most detailed and comprehensive analysis of their investments in Funds we administer. AFA has a proven track record of delivering NAV statements to investors in a clear and detailed style and as quickly and efficiently as possible, thereby providing Investors with reliable and up-to-the minute information regarding their assets and those of the Fund they’re invested in.
AFA conducts full due diligence on investors in the funds we Administer, adhering to strict Anti-Money Laundering guidelines, thus fulfilling both the funds’ obligations as well as AFA’s requirements as a Licensed Mutual Fund Administrator under the Mutual Funds Law of the Cayman Islands.