We are a fund manager under the supervison of the Estonian Financial Supervision Authority

We manage closed-end non-publicly offered contractual investment funds that invest only into publicly traded securities. Currently, our management authorisation allows offering two funds - KRR Fund USD and KRR Fund EUR.

About the company

We manage closed-end non-publicly offered contractual investment funds that invest only into publicly traded securities. Currently, our management authorisation allows offering two funds - KRR Fund USD and KRR Fund EUR.

We offer our investors two different investment options through our two investment funds, the investment strategies and expected returns in unit of time of which are similar; however, the outcome for the investors is different.

Fund manager Mart Schults

Our experience

  • 24 countries
  • 110 stock exchanges
  • 5 years in business
  • 2 different strategy funds

News

05.05.2017

Hereby 4Times Capital AS notifies that it will continue as a manager of a small alternative fund for the purposes of subsection 3 (6) and clause 306 (5) 5) of the Investment Funds Act.

27.12.2016

Amendments to the fund rules of KRR Fund USD and KRR Fund EUR were registered at the Financial Supervision Authority.

05.09.2016

The fund rules of KRR Fund EUR were registered at the Financial Supervision Authority.

KRR Fund USD and KRR Fund EUR

We offer our clients two types of funds: KRR Fund USD and KRR Fund EUR. We make similar investment transactions in both funds; however, the difference between these funds is that in KRR Fund USD we make a profit payout as at the end of a quarter, charging an incentive fee 50% to reward the hedge fund manager, and an owner of the KRR Fund EUR shares can redeem them completely or partly in accordance with the fund rules as at the end of a month, whereas the fund manager is paid a 30% incentive fee.

KRR Funds return goal is a cumulative return from 1.95% to 2.85% in a month, which translates into an annual return of 26% to 40%. At a 26% return, we double the value of a share within three years.

Share value

Fond Valuation day Nominal value Net value Issue price Redemption price
KRR Fund USD 31.05.2017 10 € 10 € 10 € 10 €
KRR Fund EUR 31.05.2017 1 000,00 € 1 074,16 € 1 074,16 € 1 074,16 €

Documents

Fund Terms Subscription notice Redemption notice Fund facts
KRR Fund USD Fund terms Subscription notice form (Word) Redemption notice form (Word) Fund facts Annual Report
KRR Fund EUR Fund terms Subscription and redemption notice form (Word) Subscription and redemption notice form (Word) Fund facts -