Information for Unitholders of GEMS OLYMPIA UCITS FUND
Amendment to the Prospectus with Effect from 7 September 2026, please refer to the document available here.
Amendment to the Prospectus with Effect from 7 September 2026, please refer to the document available here.
Following the receipt of a redemption request representing a significant portion of the Fund’s net asset value, the management company has decided, in accordance with the provisions of the prospectus, to activate the redemption gate mechanism for the net asset value dated 30 June 2026.
The full notice is available here.
Following the implementation of the AIFM 2 directive and the implementation of liquidity management tools, please refer to the document available here.
Please refer to the document “Regulatory Information – Mediator, June 2024” for more details on Olympia Capital Management’s policies
The prospectus of the FCP and SICAV managed by Olympia Capital Management include since March 10, 2021 the information required by the regulations (EU) 2019/2088 (“SFDR”). You can request the prospectus by writting to the following e-mail address : investorrelations@olympiagroup.com