Dealing Day
Monthly
Purchase
NAV 100% allocation
Redemption
5% reducing by 0.083% to nil over 60 months
Currency Class
$
Availability
Royal Skandia, Generali, Irish Life, AEGON, Victory Life, Hansard, Canada Life and others
Minimum investment
$10,000
AMC
1.20%
Asset Custodian
Fairbairn Private Bank Isle of Man
Cash Custodian
Standard Bank Mauritius
Auditors
PKF (IOM) LLC Chartered Accountants
Investment Advisor
Titan Fund Management
Funds website
www.titanfundmanagement.com
Please contact us for further information and Terms of Business.