Coller Private Equity Secondaries

About Coller Private Equity Secondaries

Home - About Coller Private Equity Secondaries

Coller Private Equity Secondaries seeks to deliver a combination of absolute and risk-adjusted returns, diversification, and the opportunity for more liquidity than traditional private equity funds. Available to professional and qualified investors in certain jurisdictions, the fund offers monthly subscriptions, monthly redemptions and a lower minimum commitment when compared with a typical private equity fund investment.

This evergreen fund provides private investors with exposure to Coller’s 34 years of secondaries investment expertise and global platform.

Pioneer and innovator

Home - Pioneer and innovator

Coller Capital, founded in 1990, is one of the world’s leading investors in the secondary market for private assets – and widely acknowledged as an innovator in secondaries.

The firm provides liquidity solutions to private markets investors worldwide, acquiring interests in private equity, private credit, and other private markets assets. With headquarters in London, and offices in New York, Luxembourg, Hong Kong, Beijing, Seoul, Zurich, Montreal and Melbourne, Coller’s multinational investment team has a truly global reach.

Coller Capital and private equity secondaries investing

Fund investment committee

Francois Aguerre
Partner, Co-Head of Investment and Global Head of Origination
Iyobosa Adeghe
Partner, Investment
Jake Elmhirst
Partner, Head of Coller Capital Private Wealth Secondaries Solutions
Paul Lanna
Partner, Investment
Steven Stolk
Partner, Co-Head of Investment and Head of CIO Office
Yonatan Puterman
Partner, Investment and CIP IX Coordinator

Key distribution personnel

David Hallifax
Director, Head of Australia and New Zealand Private Wealth Distribution

Important disclosure information

Equity Trustees Limited (ABN 46 004 031 298, AFSL 240975) (“Equity Trustees”) is the responsible entity for the Coller Private Equity Secondaries Fund (ARSN 680 148 289) (“Fund”). Equity Trustees is a subsidiary of EQT Holdings Limited (ABN 22 607 797 615), a publicly listed company on the Australian Securities Exchange (ASX: EQT).

Coller Capital Limited (“Coller Capital”) is the investment manager of the Fund. References to “we”, “us” and “our” are references to Coller Capital.

The offer of units in the Fund is available to wholesale clients as defined in the Corporations Act 2001 (Cth). The offer must only be accessed from within Australia and/or New Zealand. The offer is not being extended to persons who do not meet these criteria, and no action has been taken to register or qualify the offer in any jurisdiction outside Australia and/or New Zealand.

The information on this website has been prepared by Coller Capital. The information is general information and not financial advice, and has been prepared without taking into account the objectives, financial situation or needs of any particular person. You should consider the Product Disclosure Statement for the Fund before making a decision about whether to invest. The Fund’s Product Disclosure Statement is available here. If you require financial advice that takes into account your personal objectives, financial situation or needs, you should consult a licensed or authorised financial adviser.

Neither Coller Capital nor Equity Trustees, nor any of their respective related parties, employees or directors, represents or warrants that the information contained on this website is accurate or reliable. To the maximum extent permitted by law, no such person shall be liable for loss or damage as a result of reliance on the information contained on this website. The value of an investment can rise and fall and past performance should not be taken as an indicator of future performance.

The Fund’s Target Market Determination is available here for Class A and Class D. The Target Market Determination is a document which is required to be made available from 5 October 2021. It describes the class of consumers that the Fund is likely to be appropriate for (i.e. the target market), and any conditions around how the Fund can be distributed to investors. It also describes the events or circumstances that mean the Target Market Determination for the Fund may need to be reviewed.

Equity Trustees privacy policy is available here.