•  

About Opportunity

Founded in 1994 by Daniel Dantas, Veronica Dantas and Dorio Ferman, Opportunity is one of the first and largest independent asset management companies in Brazil.

For 30 years, we have managed investment with consistent returns, a focus on capital preservation and a long-term vision. We are recognized for our expertise in managing equity funds and multimarket funds, rigorous risk management, discipline, and fidelity to the client’s investment philosophy.

About Opportunity Fund

Opportunity Fund (the "Fund") is a Cayman Islands exempted company limited by shares.

The Fund was incorporated in the Cayman Islands in October 1992 where it operates as an open-ended investment fund and is regulated under the Cayman Islands Mutual Funds Act*. Its NAV is US$1.8 billion**.

The Fund seeks long-term capital growth through an actively managed investment portfolio, over which the investment manager has full discretion.

The Fund is not intended for the general public, but exclusively for sophisticated investors who are aware of the risks associated with the trading activities to be undertaken by the Fund, who do not require immediate liquidity from their investments and who are aware that there can be no assurance that the Fund will be profitable or meet its investment objective, hence does not require a regulatory protection. The investment objective of each sub-fund as well as the terms applicable to each are outlined in the links in the table.

Since Inception

0%

Absolute Return Serie A
Sub-Fund

0%

Absolute Return Serie C
Sub-Fund

0%

Money Market
Sub-Fund

Performance

Fund Inception Valuation Date Nav Per Share % Mar % 2024 Nav
Absolute Return Serie A 12/15/2016 03/28/2024 1656.806627 2.01 7.21 995979554.43
Absolute Return Serie C 12/15/2016 03/28/2024 1803.383429 2.28 7.50 6689307.75
Money Market 07/13/2015 03/28/2024 1112.22 0.40 0.86 9843563.16

* A mutual fund licensed or registered by the Cayman Islands Monetary Authority does not constitute the Authority's obligation to any investor as to the creditworthiness of the fund, and the Authority shall not be responsible for the correctness of any statement expressed by the Fund.

**as at the Fund's last financial year ended on 30 June 2023.

Data published on this website is for informative purposes only and nothing published on this website should be construed as an offer for shares in the Fund or solicitation for business of any kind in any jurisdiction. The shares of the Fund may be sold only on a private placement basis, through firms qualified as placement agents.