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Risk Disclosure

Important Regulatory Information for Investors

This Risk Disclosure forms a critical component of Inary obligations as an Alternative Investment Fund Manager (AIFM) regulated under the Danish Financial Supervisory Authority (Finanstilsynet), FTID 23374.

No Guarantees of Return

Any investments presented or managed by Inary are subject to market risks, including the possible loss of the principal amount invested. Past performance is not indicative of future results, and there can be no assurance that any fund or investment strategy will achieve its investment objectives.

Illiquidity and Market Risks

Alternative investments often lack immediate liquidity. Capital committed to our SPVs or managed funds may be bound for specific durations as outlined in individual term sheets, and early redemption is typically not possible or heavily penalized.

Target Market Appropriateness

The financial solutions detailed on this website are exclusively intended for professional clients and eligible counterparties as defined under MiFID II and the Danish Executive Order on Investor Protection. None of the content on this website constitutes a direct offer or solicitation for retail investors.