Legal Disclosures and Regulatory Information

Contender International Fund LLC

Managed by Padovani Asset Management Inc.

1. Regulatory Status

Contender International Fund LLC (the “Fund”) is a regulated mutual fund under the Cayman Islands Mutual Funds Act (2021 Revision) and is registered with the Cayman Islands Monetary Authority (“CIMA”). The Fund is required to file annual audited financial statements and a Fund Annual Return (“FAR”) with CIMA within six months of its financial year-end.

Padovani Asset Management Inc., the Fund’s investment manager and operator, is responsible for ensuring that the Fund complies with the Mutual Funds Act and all applicable rules and regulations as established by CIMA.

2. No Offer or Solicitation

The information contained on this website is for informational purposes only and does not constitute an offer to sell or a solicitation of an offer to buy any securities, investment interests, or financial instruments of any kind. Any such offer or solicitation may only be made through the Fund’s Confidential Private Placement Memorandum (“PPM”) and only in jurisdictions where such an offer or solicitation would be lawful and in compliance with all applicable securities laws.

Access to information regarding the Fund is limited to eligible investors who satisfy the applicable legal requirements in their country of residence, including those pertaining to investor status, sophistication, and jurisdictional eligibility.

3. Investment Risk Disclosure

Investment in the Fund is speculative and involves a high degree of risk. There is no assurance that the Fund’s investment objectives will be achieved or that any investor will receive a return of their capital. The Fund may utilize investment strategies that include, without limitation, leverage, derivatives, and concentrated positions, which may increase volatility and the potential for loss. Past performance is not indicative of future results.

Prospective investors should carefully review the Fund’s PPM and consult with their financial, tax, and legal advisors before making an investment decision.

4. Forward-Looking Statements

Certain information contained on this website may include forward-looking statements, which reflect the current views of the Fund or its affiliates with respect to, among other things, the Fund’s operations and performance. Forward-looking statements can be identified by words such as “expects,” “anticipates,” “intends,” “plans,” “believes,” “seeks,” or “estimates.”

Such statements are subject to numerous risks, uncertainties, and assumptions. Actual outcomes and results may differ materially from those expressed or implied in these forward-looking statements. The Fund and its manager undertake no obligation to update or revise any forward-looking statements.

5. Fees and Conflicts of Interest

Details regarding the Fund’s fees, including management fees, performance allocations, and other expenses, are fully disclosed in the PPM. Padovani Asset Management Inc. and/or its affiliates may receive performance-based compensation and may also invest in the Fund.

There may be circumstances in which conflicts of interest arise between the Fund, the Manager, its affiliates, and investors. The Manager has adopted policies and procedures to identify and manage such conflicts, which are available upon request.

6. Liquidity and Redemption Terms

The Fund is structured as an open-ended investment vehicle. Redemptions are permitted in accordance with the terms set forth in the PPM and the Fund’s constitutional documents. These terms may include lock-up periods, advance notice requirements, redemption fees, and gate provisions that limit the amount of redemptions on any redemption date.

Investors should carefully review the liquidity terms prior to making any investment decision.

7. Jurisdictional Restrictions and Tax Disclosure

The content of this website is not directed at any person in any jurisdiction where the availability of such content is prohibited or restricted by law. Persons accessing this site are responsible for informing themselves about and complying with all applicable laws and regulations in their jurisdiction.

Investors should be aware that investment in the Fund may have tax implications in their country of residence. The Fund does not provide tax advice. Investors are urged to consult their own tax advisors regarding the tax consequences of any investment in the Fund.

8. Confidential Offering Documents

The only authorized source of information regarding the Fund is its Confidential Private Placement Memorandum, Subscription Agreement, and constitutional documents (together, the “Offering Documents”). No other information contained on this website or otherwise provided by the Fund, its affiliates, or service providers should be relied upon in making an investment decision.

Offering Documents are available upon request and are provided solely to qualified prospective investors.

9. Access to Fund Information

The Fund’s audited financial statements, Offering Documents, and other required reports are available for inspection by investors at the Fund’s registered office in the Cayman Islands or upon written request, subject to applicable confidentiality obligations.

10. Anti-Money Laundering, FATCA, and CRS

The Fund complies with all applicable Anti-Money Laundering (“AML”), Know Your Customer (“KYC”), FATCA, and Common Reporting Standard (“CRS”) requirements. The Fund may request additional documentation from investors at any time to comply with regulatory obligations and reserves the right to reject subscriptions or require redemptions in the event of non-compliance.

11. CIMA Compliance and Material Change Reporting

The Fund is required to notify CIMA within twenty-one (21) days of any material change to the information provided in its registration, including changes to the Fund’s operator, service providers, or principal terms. Such compliance measures are overseen by the Manager and its legal counsel.

12. Intellectual Property and Use of Website

All content, including text, graphics, logos, and images on this website, is the property of Contender International Fund LLC or its affiliates and may not be copied, reproduced, or distributed without prior written consent. Use of this website is subject to the terms and conditions set forth herein and applicable law.

Contact Information

For additional information or access to Offering Documents, please contact us.

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