Apex Capital is the logical outcome of our investment and professional activities. Since January 2024, when we started our first fund Apex ONE, we have been managing capital of our own capital and those close to us. Recently we also started to welcome like-minded investors.
The main principle of money management is active and sophisticated strategies based on fundamental and technical analysis. The emphasis is on verifying information sources and actively searching for the "truth".
We believe that we are now so advanced in these skills that we can offer the benefits of our approach to other investors who would like to include such an approach in their investment portfolio or who think similarly about building wealth.
We have created a unique investment strategy for investors from return, risk, liquidity and volatility point of view. We achieve this thanks to our knowledge of all financial asset classes and the workings of the market itself, which enable us to identify exceptional market opportunities.
The Apex SEMICONDUCTORS Fund is a visionary fund aiming to capitalize on the emerging microchip and AI supercycle. We continuously seek out and evaluate information to ensure that our fund holds shares of companies with the highest added value—those capable of sustaining high margins over the long term, delivering strong revenue growth, and generating robust free cash flow for shareholders, ultimately driving significant stock value appreciation.
Apex Capital a.s. Transforms Part of Its Assets and Launches a Qualified Investor Fund, Apex Capital SICAV
Prague (January 10, 2025) – Apex Capital a.s. announces the transformation of part of its assets and the launch of the qualified investor fund, Apex Capital SICAV. This move responds to the positive feedback from investors following the establishment of the Apex ONE fund in January 2024. As a result, the company’s shareholders have decided to transform this fund into a sub-fund, Apex ONE SICAV, under the newly established Apex Capital SICAV.
As part of this transformation, the new sub-fund Apex ONE SICAV will be launched on February 1, 2025, continuing the success of the original Apex ONE fund. Since its inception, the fund has achieved a +32.32% return (from January 22, 2024, to December 31, 2024). Apex ONE SICAV will offer bond fund investments, allowing a broader audience to benefit from Apex Capital’s active management and unique expertise.
Apex ONE SICAV is built on a unique investment strategy, considering returns, risk, liquidity, and volatility. We achieve these objectives through our deep understanding of financial asset classes, market analysis, active management, thorough research, and continuous data gathering.
The fund operates under the full supervision of the Czech National Bank (ČNB). It is managed by NWD Investment Company, which boasts over 20 years of success in the market. As a licensed entity under ČNB, NWD guarantees transparency and full regulatory compliance.
The fund’s securities assets will be held by Komerční banka, a licensed custodian bank. PricewaterhouseCoopers (PwC), one of the world's leading audit service providers, has been appointed as the fund’s auditor.
"This step significantly advances our joint project. We believe that a bond fund of this type is unique in the Czech Republic. With this brief announcement, I would like to invite all investors looking to diversify their portfolio with a unique strategy or those who share our approach to wealth-building. Once the target fund size is reached, it will be closed to the public," says Václav Kosáček, Chairman of the Board of Apex Capital a.s.