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International Investment Affiliates Based in Bermuda

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  • XIB International Funds
  • Local and Overseas Team
  • Join Our Distribution Lists
  • Learn More About XIB Asset Management

About XIB Investment Management Limited

XIB Investment Management Limited (“XIB IM”) is an exempted company limited by shares incorporated pursuant to the Companies Act 1981 and registered in Bermuda with company registration number 202303019, having its registered office at Park Place, 55 Par-la-Ville Road, Hamilton, HM 11. XIB IM is registered with the Bermuda Monetary Authority to provide investment business advice under the Investment Business Act 2003 and is authorized to carry out the investment activity of promoting investments to the public. XIB IM does not conduct any other investment business activity.

About The XIB International Funds

XIB International Fund (the “Int’l Fund”) is an exempted company incorporated with limited liability under the laws of the Cayman Islands. The investment strategy of the Int’l Fund is to invest in the participating shares of XIB International Master Fund.

XIB International Arbitrage Fund (the “Arb Fund”) is an exempted company incorporated with limited liability under the laws of the Cayman Islands. The investment strategy of the Arb Fund is to invest in the participating shares of XIB International Arbitrage Master Fund.

XIB International Apex Fund (the “Apex Fund”) is an exempted company incorporated with limited liability under the laws of the Cayman Islands. The investment strategy of the Apex Fund is to invest in the participating shares of XIB International Apex Master Fund.

XIB International Tribute Fund (the “Tribute Fund”) is an exempted company incorporated with limited liability under the laws of the Cayman Islands. The investment strategy of the Tribute Fund is to invest in the participating shares of XIB International Tribute Master Fund.

Management fees and other expenses may be associated with an investment in the Funds. All prospective investors must obtain and carefully read the Amended and Restated Private Offering Memorandums (the “Offering Memorandums”), which will contain the information needed to evaluate the potential investments and provide important disclosures regarding risks, fees, and expenses. Any decision to invest in the investments described herein should be made after reviewing such Offering Memorandums, conducting such investigations as the investor deems necessary and consulting the investor’s own investment, legal, accounting and tax advisors in order to make an independent determination of the suitability and consequences of an investment.

SGGG Fund Services (Cayman) inc. is the fund administrator (the “Administrator”) of the Funds and the Master Funds. XIB Asset Management Inc., a company incorporated in Canada is an investment advisor to the Funds and the Master Funds.

Not an Offer or Advice

The information contained herein is meant for informational purposes, and does not constitute an offer, advice or solicitation in the United States, Canada, Bermuda or in any other jurisdiction, and is not, and under no circumstances is to be construed as, an offer to sell or the solicitation of any offer to buy or the giving of investment advice in relation to any securities nor does it constitute a public offering to sell the Fund or any funds advised by XIB Asset Management Inc.

Prospective investors should contact their financial advisor and the Administrator to determine whether the Fund may be available in their jurisdiction and to them personally. This will depend on the laws of each relevant jurisdiction and the investors status as a professional or sophisticated investor and net worth. The Fund is not intended for investment by the general public. Subscriptions for the Fund will only be considered on the terms set out in the Offering Memorandum and no reliance should be placed on the information contained herein. The Offering Memorandum contains important detailed information about the Fund. Investors in the Fund may optionally subscribe for a US dollar class of units, which seeks to use derivatives to hedge currency translation effects and achieve similar performance from a US Dollar perspective. As such, comparative figures for selected indices are presented in their local currencies as noted.

No Guarantee

The risks of loss from investing in the Fund can be substantial. The risks associated with investing in the Fund depends on the securities and assets in which the Fund invests in, based upon the Fund investment objective. There is no assurance that the Fund will achieve the investment objective, and its net asset value will fluctuate from time to time with market conditions. There is no guarantee that the full amount of your original investment in the Fund will be returned to you. Please read the Fund’s OM before investing.

Notes on Historical Returns and other statistics

Returns and related calculations for the Fund are presented in US dollars, which is the functional currency of the Fund.

Investors in the Fund may optionally subscribe for a different class of units, which may use derivatives to hedge currency translation effects and achieve similar performance from different currency perspectives. As such, comparative figures for selected indices are presented in their local currencies as noted.

Conflicts of Interest

The Fund, Master Fund, XIB Asset Management Inc and XIB IM are all owned by the same ultimate beneficial owner and the promotion of the Fund by XIB IM is therefore not an independent promotion, with the owner holding interests in all entities.

Copyright © 2026 XIB Investment Management Limited. All rights reserved.