Fund Overview & Performance

Counsel Global Listed Private Equity Pool Seres I

March 31, 2026

The Fund seeks to provide long-term capital appreciation, by investing primarily in securities of publicly listed global private equity issuers.

Is this portfolio right for you?

  • Want exposure to publicly listed global private equity issuers as part of your investment strategy.
  • Are looking for a medium- to long-term investment and can tolerate the ups and downs of equity market volatility.
  • Annual distributions.

Neutral portfolio allocation1

This image is a pie chart that provides a visual breakdown of an investment fund. The chart is divided into two segments, each representing a different category of investments. Each category includes the percentage allocation range and the financial institutions managing that specific category. First segment, 6 - 10% allocation range to Unlisted Private Equity. Second segment, 90 - 94% allocation range to Listed Global Equity, managed by Keyridge Asset Management.

Annualized performance (%)

Period 1 mth 3 mths 6 mths 1 yr 3 yr 5 yr 10 yr Inception return
Series I Data not available based on date of inception

Performance (%) calendar year returns

Period 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 YTD
Series I Data not available based on date of inception

Historical performance (%) Current value of $10,000

Data not available based on date of inception

How the fund is invested2

Asset allocation (%)

Asset allocation (%)

No Data Available

Geographic allocation (%)

Geographic allocation (%)

No Data Available

Sector allocation (%)

Sector allocation (%)

No Data Available

Top holdings

Top equity holdings (%) of NAV

No Data Available

Why Invest with Counsel Portfolios

Our Portfolio Management team builds and maintains our portfolios based on in-depth analysis to align to a broad range of investor risk profiles. We take an unbiased approach when choosing our money managers by incorporating a proprietary and disciplined methodology for researching and selecting independent asset managers from across the globe. Each manager is monitored and held accountable to their mandate to help ensure our investors have the best chance at achieving their financial goals.

Performance chart

Data not available based on date of inception

Period:
Interval :
Export toCSV
Effective date Price ($) Income Capital gain Return of capital Total distribution
04/21/2026 9.93 - - - -
04/20/2026 10.00 - - - -

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Commentary

Fund Commentary