FUND

MANAGERS

3
Ian Berclaz

Fund Manager

Ian, a Swiss Citizen, is an entrepreneur and experienced C-Suite executive. He has accumulated more than 20 years’ experience in Wealth Management and Private Banking, as COO and CFO for Credit Suisse and Julius Baer across Europe, Middle East and Asia.
Ian Berclaz - Marine Fund Manager
Cedric Stadelmann - Marine Fund Manager
Cedric Stadelmann

Fund Manager

Cedric, a Swiss Citizen, has vast experience and in-depth knowledge in asset management gathered from his time in UBS, Bank Pictet & Cie, and Bank of Singapore. He has identified funds, negotiated partnerships and distributed investment opportunities amongst his global network of investors across Europe and Asia.

Disclaimer

This website with information provided by Marine Fund I, a sub-fund of BRCAP ASIA VCC, registered with the Monetary Authority of Singapore (“ Marine Fund I”), should not be deemed an offer to sell nor a solicitation of an offer to buy an interest in any of the products described herein. Interests in these products may only be offered by mean of Private Placement Memorandum or Confidential Mandate for the relevant product. Investment in the products highlighted herein are suitable only for Accredited Investors, Qualified Purchasers or Qualified Clients who fully understand and are willing to assume the risks involved. Investors may lose all or substantial part of their investment. Index information is provided for illustrative purpose only and is not intended to imply that the portfolios were similar to any index either in composition or element of risk. Indices are unmanaged and generally do not reflect reinvestments of income and dividends or the impact of management fees and expenses. The website contains forward-looking and back-looking statements that involve substantial risks and uncertainties and actual results and developments may differ materially from those expressed or implied by these statements or a variety of factors. No reliance may be placed for any purposes whatsoever on the information contained in this website or on its completeness. No representation or warranty, express or implied, is given by or on behalf of Marine Fund I. The information and any opinions contained in this document are provided as at the date of this presentation and are subject to updating, revision, verification, and amendment and such information may change without notice. This website and its contents are confidential and may not be reproduced, redistributed or passed on, directly or indirectly, to any other person or published, in whole or in part, for any purpose. Certain financial results presented herein are unaudited and may be subject to adjustments. Past performance may not be indicative of future results. The viewing of this website in certain jurisdictions may be restricted. This website has not been reviewed by the Monetary Authority of Singapore (MAS). The information contained herein has been obtained from sources believed to be reliable and in good faith. Marine Fund I cannot guarantee or be held financially or legally liable for the accuracy, completeness or correctness of the information contained in this website. Investing is associated with risk. Specific risks related to maritime investing include general economic externalities, vessel condition, construction and performance risks, charter rate variability, operating cost variability, applicable tax variability, exchange rate variability, fungibility, arrests, vessel value variability, counterparty risks, risks associated with activities of state and non-state actors, and other risk factors. All investors must be prepared that such investments may result in monetary losses. Anyone who uses this website as a basis for investing at a later time, must ensure that all relevant and updated information is obtained. The information in this website is only valid per date of preparation. Possible investors are encouraged to review all relevant sources thoroughly before investing.