Member Access: Mayfair | Abu Dhabi


CWC Capital is responsible for the establishment, governance, and oversight of an Abu Dhabi Global Market (ADGM) domiciled Fund of Funds designed for professional investors.


The Fund operates as an allocator, making portfolio-level decisions regarding the selection of underlying hedge fund strategies, allocation sizing, concentration limits, and ongoing risk oversight in accordance with its governing documents and internal investment and risk management policies. At inception, the Fund is expected to allocate primarily to a core hedge fund strategy managed by an affiliated investment manager. This allocation reflects a portfolio construction decision made by the Fund based on strategy suitability, risk characteristics, and alignment with the Fund’s mandate. The Fund retains full discretion to adjust allocations and where appropriate, introduce additional strategies or managers over time, subject to applicable regulatory and disclosure requirements.


CWC Capital does not provide investment advisory services to third parties and does not engage in capital introduction or placement activities. All investment decisions are made at the Fund level and investment opportunities are made available solely through formal fund documentation to eligible professional investors.



Our Focus

Governance

Clear decision-making frameworks, documented oversight, and alignment with governing documents.

Risk Oversight

Ongoing monitoring of portfolio-level exposures, concentration, and liquidity considerations.

Structure

Institutional-grade fund structuring within ADGM, supported by professional service providers.

Alignment

Transparent disclosure of affiliations and a focus on long-term investor alignment.


Investment Overview

The Fund is structured as an Abu Dhabi Global Market (ADGM) domiciled Fund of Funds providing professional investors with structured exposure to hedge fund strategies through portfolio-level allocation and risk oversight.


At inception, the Fund is expected to allocate primarily to a core hedge fund strategy managed by an affiliated investment manager, with discretion to adjust allocations and introduce additional strategies over time in accordance with its mandate.



Our Approach

We believe disciplined portfolio construction and governance are as important as underlying strategy selection. Our focus is on building a Fund of Funds structure that prioritises transparency, risk awareness, and alignment with professional investor expectations.



Decisions are made at the portfolio level, with an emphasis on concentration management, liquidity awareness, and ongoing oversight rather than short-term performance outcomes.


Who It's for & Who It's Not For

Investor Profile

The Fund is intended for professional investors, including family offices, institutions, and sophisticated investment vehicles seeking structured exposure to hedge fund strategies through a governed Fund of Funds framework.



The Fund is not intended for retail investors or investors seeking speculative or short-term trading exposure.

Our Role

CWC Capital’s role is focused on fund-level governance, allocation oversight, and risk monitoring. Underlying hedge fund strategies are managed by their respective investment managers, who are responsible for strategy execution and day-to-day investment decisions.



This separation supports clarity of responsibility, transparency, and appropriate governance.

Why ADGM

The Fund is established in the Abu Dhabi Global Market (ADGM), an international financial centre with a regulatory framework designed for professional investment structures. ADGM provides a recognised environment for fund governance, regulatory oversight, and institutional service providers.





Access

Professional investors seeking additional information may request access to the Fund’s documentation through the investor access process. All materials are provided subject to eligibility, regulatory requirements, and appropriate verification.