General disclaimer


When you have browsed or visited this website, you agree to observe and be bound by the following terms and conditions:-

This is not an offer to sell securities of any investment fund or a solicitation of offers to buy any such securities. I Concept Global Growth Fund (the “Fund”) managed by Asia Cornerstone Asset Management Company Limited (the “Investment Manager”) are offered to the selected Professional Investors (the “Investors”) (as defined under the Securities and Futures Ordinance (Cap.571; laws of Hong Kong) (the “SFO”)) only by means of a complete Private Placement Memorandum, and related subscription agreement (together with any subsequent side letters and Supplement Agreements, if any) which contain significant additional information about the terms of an investment in the Fund (such documents, the “Offering Documents”). Any decision to invest in the Fund shall be the decision of the Investors themselves after they have taken into account their age, education, occupation, investment objectives, (prior and existing) investment experience, risk tolerance etc. Such decision to invest in the Fund must be based solely upon the information set forth in the Offering Documents, regardless of any information that the Investors may have been otherwise furnished, including this website and/or other documentations.

Any information provided herein is for your information and reference only. Neither the Investment Manager nor this website is not intended to give you any investment, accounting, financial, legal and taxation advice. Investors shall seek professional advice in this regard in case of doubt.

The investment in the Fund involves some degrees of risk. There is no guarantee that the investment objective and returns will be achieved. Past performance of the Fund is not indicative of any future results. There is always possibility of losses and all investment involves risk including the loss of principal. Some investments of the Fund are not registered with any regulatory authority in Hong Kong or elsewhere, are offered pursuant to exemptions from such registration, and are subject to significant restrictions.

The information herein is prepared by the Investment Manager and is believed by the Investment Manager to be reliable and some information has been obtained from public sources that are believed to be reliable. The Investment Manager makes no representation as to the accuracy or completeness of such information. Opinions, estimates, and projections in this document constitute the current judgement of the Investment Manager and are subject to change without notice. Any projections, forecasts, and estimates contained in this document are necessarily speculative in nature and are based upon certain assumptions. It can be expected that some or all of such assumptions will not materialize and may vary substantially from the projections or estimates shown. This document is not intended as a recommendation to purchase or sell any securities, futures contracts, and/or other financial instrument. The Investment Manager has no obligation to update, modify, or amend this website or to otherwise notify a reader thereof in the event that any matter stated herein, or any opinion, project on, forecast or estimate set forth herein, changes or subsequently becomes inaccurate.

The content of this website shall not be reproduced or redistributed in whole or in part nor may its contents be disclosed to any other person without the express consent of the Investment Manager in writing. This website has not been reviewed, approved and endorsed by the Securities and Futures Commission of Hong Kong or any regulators elsewhere.

The Investment Manager (Central Entity Number: BEJ381) is a corporation licensed under the Securities and Futures Ordinance (Cap.571) to carry on Type 9 (asset management) regulated activity.