Open Requests for Proposals (RFPs)

Reply to open RFP: Looking for investors for public collectibles gallery project in Prague

Share

Cancel

1. Basic information

Investment consultant
Jul 18, 2019
Looking for investors for public collectibles gallery project in Prague
135 million USD
Oct 31, 2019
Nov 30, 2019
Mar 31, 2020

2. Investment criteria

Equity
mixed, not applicable

Legal requirements

Fees and costs

0%
0%
0%
0%
0%
0%
Both possible

Track record

n/a
gross of fees

3. Questionnaire

1. Institutional assets under management worldwide in millions of USD (i.e 10,000,000,000 = 10,000)
2. Institutional assets under management for this asset class/region in millions of USD (i.e 500,000,000 = 500)
3. Total assets under management for this asset class/region in millions of USD (i.e 500,000,000 = 500)
4. Number of institutional clients for this asset class
5. State the number of mandate wins within this asset class for the 3 years to the end of the month stated in the search criteria
6. State the total amount in millions of USD involved with these wins
7. State the number of mandate losses within this asset class for the 3 years to the end of the month stated in the search criteria
8. State the total amount in millions of USD involved with these losses
9. Name the product/strategy for this asset class which forms the basis for your response to this request for information (15 words max.)
10. State the inception date of this product/strategy
11. Outline your investment management philosophy and process for this product/strategy (250 words max.)
12. State the benchmark against which you manage this product/strategy (if none, please state none)
13. 1 year annualized performance return for this product/strategy to the end of the most recent quarter
14. 2 year annualized performance return for this product/strategy to the end of the most recent quarter
15. 3 year annualized performance return for this product/strategy to the end of the most recent quarter
16. 4 year annualized performance return for this product/strategy to the end of the most recent quarter
17. 5 year annualized performance return for this product/strategy to the end of the most recent quarter
18. 1 year annualized performance return for your stated benchmark to the end of the most recent quarter
19. 2 year annualized performance return for your stated benchmark to the end of the most recent quarter
20. 3 year annualized performance return for your stated benchmark to the end of the most recent quarter
21. 4 year annualized performance return for your stated benchmark to the end of the most recent quarter
22. 5 year annualized performance return for your stated benchmark to the end of the most recent quarter
23. 2 year ex-post tracking error
24. 3 year ex-post tracking error
25. 4 year ex-post tracking error
26. 5 year ex-post tracking error
27. 2 year information ratio
28. 3 year information ratio
29. 4 year information ratio
30. 5 year information ratio
31. State the base currency used to calculate all of the below performance records
32. Provide a short commentary to accompany your performance returns - for example an explanation for periods of out-performance and/or under-performance, etc. (100 words max.)
33. State whether your performance data is for a composite, carve out, single portfolio etc., and provide details of how your performance data has been put together (200 words max.)
34. Detail your standards for investment performance reporting (eg GIPS or other levels of comliance/verification) including specific reference to the performance returns provided in the request (50 words max.)
35. Please state whether your firm offers management of this asset class through a segregated account, a pooled account, or both
36. Please supply any additional information or comments (200 words max.)
37. If you wish to add a legal disclaimer please do so here


Cover letter

(0 characters out of 2,000)