FUNDS
The governance of Signum alternative investment funds is built upon a secure and professional fund structure. The Portfolio Manager, the Management Company, and the Depositary Bank are all separate, authorized financial entities supervised by the Finnish Financial Supervisory Authority (FIN-FSA). This segregated model is widely recognized as the most secure, transparent, and investor-focused structure, particularly within professional and institutional asset management in Europe (e.g., Switzerland and Luxembourg) and North America. Signum Varainhoito Oy acts as the Portfolio Manager for the Signum alternative investment funds, with the domestic GRIT Fund Management Company Ltd. as the Management Company, and SEB (Skandinaviska Enskilda Banken AB, Helsinki Branch) as the Depositary Bank.
ASSET PAGES
Fund Prospectuses, Fund Rules, and Key Information Documents (KIDs)
Payment instructions for fund unit transfers
Please note that fund subscriptions must be paid and visible in the fund's subscription accounts by 11:59 PM on May 27, 2026, for the subscriptions to be confirmed and accepted for the subscription date of May 29, 2026.
SIGNUM MONETARY SYSTEMS STRATEGY ALTERNATIVE INVESTMENT FUND
Payment recipient: Signum Monetary Systems Strategy Alternative Investment Fund (AIF)
Saajan's account number: FI33 3301 0001 1804 39
Depository Account Bank SEB (Skandinaviska Enskilda Banken Ab), Helsinki Branch
Message: Name, social security number/business ID, and phone number
Payment due date: 27.5.2026
Record date: 29.5.2026
SIGNUM DIGITAL ASSETS STRATEGY ALTERNATIVE INVESTMENT FUND
Payment recipient: Signum Digital Assets Strategy Alternative Investment Fund (AIF)
Saajan's account number: FI78 3301 0001 1804 05
Message: Name, social security number/business ID, and phone number
Depository Account Bank SEB (Skandinaviska Enskilda Banken Ab), Helsinki Branch
Payment due date: 27.5.2026
Record date: 29.5.2026
In fund subscriptions, the subscription fee is paid via bank transfer from your own bank (e.g., Nordea, OP, or Danske Bank) directly to the fund's subscription accounts, which are held with the largest Nordic banks, SEB and Nordea. Signum Varainhoito does not have client asset accounts; all fund traffic flows directly between the Client, their own bank, the fund's subscription accounts (Nordea or SEB), and the custodian bank (SEB). The fund's assets are held separately from the assets of the Portfolio Manager, Management Company, and Custodian. The operational model described above ensures the safest possible custody for unit holders/investors in all situations. The fund's custodian bank acts independently and impartially in its role, separate from the Fund's portfolio manager and management company. The Finnish Financial Supervisory Authority supervises the Funds, Portfolio Manager, and Management Company.