PruNova

Compliance

Regulatory obligations, investor onboarding and internal controls.

Compliance Oversight

Applicable regulations and internal policies are monitored continuously.

AML / KYC

Investors are onboarded and monitored under applicable anti-money-laundering and know-your-customer requirements.

Conflict-of-Interest Management

Conflicts are identified, disclosed and managed under a written policy.

Cybersecurity & Data Protection

Fund and investor information is protected by defined technical and organisational controls.

Regulatory information specific to each jurisdiction in which the fund is marketed will be published following review by legal counsel.