Prudent Investing for Sustainable Growth.
Our development are built on a foundation of carefully stress-tested strategies that aim to achieve consistent wealth growth with our clients. We have adopted an optimal operational model that ensures each part of our business runs efficiently and effectively. This thoughtful approach has driven our strong and steady expansion, enabling us to responsibly explore new markets and opportunities while maintaining our commitment to quality and integrity in everything we do.
Maximize Your Capital.
7500A Beach Road, The Plaza,
#11-313 Singapore 199591
Contact us and let's strategically shape your financial future together.
FUND 1
LC Tranquil
LC Tranquil Assets fund is a conservative investment option that is offered by BRC. The fund invests in liquid and high-quality short-term debt securities and various money market instruments. The fund targets to provide a return which is benchmarked against that of US Dollar short term bank deposits.
FUND 2
LC Celestial
LC Celestial Assets Fund seeks for long-term capital appreciation by adopting a catalyst-driven approach. The fund conducts active, in-depth research on catalyst-driven observations to recognize emerging and well-established businesses that are well-positioned to gain from changes, innovations, and disruptions.
OUR TEAM
Meet Our Elite Financial Investment Team
Our diverse experts blend industry knowledge, analytical prowess, and strategic insight for unparalleled investment success.
ABOUT US
Your Journey with Longevity Capital VCC Begins Here.
LC TRANQUIL ASSETS FUND & LC CELESTIAL ASSETS FUND is a sub fund of LONGEVITY CAPITAL VCC, an umbrella variable company incorporated on 02 May 2023 with limited liability under the laws of Singapore with the registration number T23VC0114K.
TECHNICAL ADVISOR
Strategic Oversight Mastery.
The fund manager will also be supervised by Longevity Capital Pte Ltd, the technical advisor who has 2 members who are serving on the board of the Fund. They will provide an additional layer of oversight as well as imparting different views of the macroeconomic climate to the fund manager from their respective positions of accountant as well as that of an entrepreneur.
Investment Objective
To provide a return which is benchmarked against that of
US Dollar short term bank deposits.
Fund Classes Available
Class A1 - USD
Subscription Mode
Cash - USD
Minimum Subscription
Class A1 - $100,000
Subscription Fee
Currently none, up to 5%
Management Fee
Class A1 - Currently 1.5% p.a; maximum 2% p.a.
FUND SUMMARY
FUND CHARACTERISTICS
Quality Short-Term
Investment in short-term high-quality debt instruments
Six-Month Maturity
Average maturity of debt instruments of not more than 6 months
Preserving Capital
Capital preservation as a key
consideration for investment decisions
Flexible Yield Strategy
Investment in short-term high-quality debt instruments
Dynamic Adjustment
Average maturity of debt instruments of not more than 6 months
ACTIVITY
The fund will primarily focus on money market instruments, including but not limited to fixed deposits, treasury, investment grade bonds, currencies products, to preserve and enhance the value of invested capital while maintaining high liquidity of the fund.
FUND MANAGER
Swiss-Backed LFMC Excellence.
BRC is a Licensed Fund Management Company (LFMC) in Singapore. There are no restrictions on the amounts which can be managed by the Fund Manager if its investors are Accredited Individuals. It is helmed by two Swiss individuals who have a combined 30 years of experience in the asset management and private wealth space. Being a MAS regulated entity, there is a requirement to audit the financials statements of the fund manager on an annual basis. The fund manager is also subject to additional MAS circular requirements that relate to custodial relationships which ensure that funds are properly managed and segregated.
2
Swiss-Backed Individuals
30+
Years of Experience
Investment Objective
Long term appreciation of fund
Fund Classes Available
Class 2A
Subscription Mode
Cash
Minimum Subscription
Class 2A - $100,000
Subscription Fee
Currently none, up to 5%
Performance Fee
30%
ACTIVITY
The fund primarily focuses on technology sector, seeking to identify vertical leaders that disproportionately capture long term secular value creation. In addition, through bottom up fundamental research, fund manager aims to maintain reasonable diversification by adding high conviction equities when market sentiments drive pricing mismatch.
FUND SUMMARY
FUND CHARACTERISTICS
Long-Term Sector Investments
Invest in sector and names with long
term secular growth trends.
12+ Month Holding Strategy
Average holding period of more than 12
months.
Tech-Focused with Flexibility
Focus on global (i.e. US, China) technology sectorwith more than 50% allocation in it, but remain flexible to other sectors to minimise market volatility.