Legal Notice
Legal Disclaimer
Please read this disclaimer carefully before using this website or making any decision in relation to ABCD Fund or its funds. By accessing this website you agree to be bound by these terms.
No Offer to Invest
Nothing on this website constitutes an offer, invitation, or solicitation to subscribe for, purchase, or invest in any fund, security, or financial instrument managed or operated by ABCD Fund or any of its affiliated entities. The information provided is for informational purposes only and does not form the basis of any investment contract or commitment.
No investment decision should be made on the basis of information contained on this website without obtaining independent professional advice.
Qualified Investor Notice
The funds and strategies described on this website are intended solely for qualified investors as defined under applicable law. Access to fund materials, term sheets, and investment documentation is restricted to eligible investors who have completed ABCD Fund's onboarding and suitability process.
This website does not constitute a public offering. It is not directed at retail investors or any person who is not a qualified investor in their jurisdiction of residence.
Investment Risk
All investments involve risk. The value of investments can fall as well as rise, and investors may receive back less than the amount originally invested. Past performance is not a reliable indicator of future results. There is no guarantee that any investment objective, strategy, or return target described on this website will be achieved.
Investment in crisis-opportunity strategies, absolute return strategies, and capital preservation strategies all carry specific risks including but not limited to: market risk, liquidity risk, concentration risk, currency risk, counterparty risk, and operational risk. Investors should ensure they fully understand these risks before committing capital.
No Guaranteed Return
Any return targets, objectives, or ranges described on this website are investment objectives only. They are not guarantees, promises, or representations that such returns will be achieved. ABCD Fund makes no warranty, express or implied, that any fund will achieve its stated objective or return target.
References to a maximum-drawdown objective describe an internal risk management target, not a guaranteed ceiling on losses; actual losses may exceed the objective in adverse conditions. References to potential structural-friction savings (including the "up to approximately 3%" figure referenced on this website) describe an estimated range in selected investor execution scenarios, not a guaranteed saving for any investor.
Return expectations are based on the investment team's analysis and judgement. Actual outcomes may differ materially from those described.
Illustrative and Placeholder Data
Certain information on this website, including but not limited to return targets, portfolio characteristics, risk metrics, and fund terms, is illustrative or placeholder in nature. It is clearly marked as such and does not represent actual historical or current fund data.
ABCD Fund does not publish unverified performance data, assets under management figures, or investor terms. Where information is not yet available, this reflects the early-stage nature of the fund and the absence of a verified track record.
Forward-Looking Statements
This website contains forward-looking statements, including statements about investment strategies, market conditions, return expectations, and fund objectives. These statements involve known and unknown risks and uncertainties that may cause actual results to differ materially from those expressed or implied.
Forward-looking statements are based on current beliefs, assumptions, and expectations and are subject to change without notice. ABCD Fund undertakes no obligation to update forward-looking statements to reflect new information, future events, or changed circumstances.
Website Limitations
This website and the information it contains are provided on an "as is" basis. ABCD Fund makes no representation or warranty, express or implied, as to the accuracy, completeness, or timeliness of the information provided. The website may contain errors, omissions, or outdated information.
ABCD Fund is not responsible for any loss or damage arising from reliance on information contained on this website. Links to third-party websites are provided for convenience only and do not constitute endorsement of those websites or their content.
Jurisdiction
This website is operated by ABCD Fund, a Cayman Islands hedge fund platform founded and operated from Bangkok, Thailand. The fund domicile is the Cayman Islands; Bangkok is the investment team's operating base. The information on this website is not directed at persons in jurisdictions where the publication or availability of such information would be contrary to local law or regulation.
It is the responsibility of any person accessing this website to satisfy themselves as to the full observance of the laws of any relevant jurisdiction, including obtaining any required governmental or other consents, and observing any other required formalities.
Regulatory Status
ABCD Fund is in formation, targeting launch in October 2026. The funds described on this website have not yet received all required regulatory approvals, registrations, or licences, and the platform is operating on a pre-investor, development-stage basis.
No investor capital has been accepted, committed, or deployed. Investment activities described are objectives for the intended fund structure, subject to the offering documents and to regulatory and legal review prior to launch.
Contact
If you have questions about this disclaimer, the funds described on this website, or ABCD Fund's investor relations process, please contact us through the investor relations page.
Investor Relations: investor.relations@abcdfund.example
This disclaimer was last updated on 21 July 2026.
Investor Relations
Questions About Investing?
Contact ABCD Fund's investor relations team to discuss eligibility, the onboarding process, and how to receive fund documentation when it becomes available.
Contact Investor Relations