Official Website of Fusion Property Assets ELP (hereinafter referred to as "the Fund," "Fusion," "we," or "us")
By continuing to access or use this website, you confirm that you have read, understood, and agreed to be bound by these Legal Notice and Risk Disclosure terms.
1. This website is operated by Fusion Property Assets ELP. Fusion Property Assets ELP is an Exempted Limited Partnership Private Fund established under the relevant laws of the Cayman Islands (Private Fund structure).
2. The information contained on this website does not constitute the establishment of a permanent establishment or business premises of the Fund in any jurisdiction.
3. Contact Information:
DSO–IFZA, IFZA Properties, Dubai Silicon Oasis, Dubai
ir@fusionfund.capital
1. All content on this website and in any business plan or presentation materials is for informational purposes only, intended to provide an overview of the Fund's investment philosophy, strategic framework, and operational model.
2. Such content does not constitute and should not be regarded as:
3. The data and materials referenced on this website are primarily based on publicly available information or internal research deemed reliable, but we make no express or implied warranty regarding their accuracy, completeness, or timeliness, nor do we assume any liability arising from reliance on such information.
1. The Fund is established as a private fund (Private Fund) under applicable laws and regulations in the Cayman Islands and complies with applicable regulatory requirements in jurisdictions where it actually conducts business.
2. The Fund follows industry practices by establishing custody, audit, and other arrangements to enhance transparency in asset custody and information disclosure.
3. The Fund will fully implement KYC (Know Your Customer) and KYB (Know Your Business) compliance review processes during investor onboarding to meet anti-money laundering, counter-terrorism financing, and sanctions compliance requirements.
4. Whether an investor qualifies to participate in the Fund's investment will be determined based on the laws and regulations of their jurisdiction and the Fund's formal legal documents (such as the Limited Partnership Agreement, Private Placement Memorandum, etc.). This website alone does not constitute any qualification judgment or commitment.
1. Any person accessing this website or considering investment opportunities in the Fund should ensure that:
2. This website does not make any determination or guarantee regarding whether any visitor qualifies as a "professional/qualified/institutional investor." Visitors should determine based on their own circumstances and local regulatory rules whether they are permitted to receive information from this website and participate in private fund investments.
3. If the laws of your jurisdiction restrict the receipt of such information, or if your status does not permit access to such information, please immediately stop accessing this website.
1. The Fund is not targeting investors from Mainland China or the United States, and the content of this website does not constitute any public offering, promotion, or solicitation in the above jurisdictions.
2. For the purposes of this section:
"Mainland China Investors" primarily refers to natural persons residing long-term in Mainland China or institutions established in that region. The term "People's Republic of China" as used in this section excludes Hong Kong Special Administrative Region, Macau Special Administrative Region, and Taiwan.
"U.S. Investors / U.S. Persons" should generally be understood with reference to the relevant definitions in Regulation S of the U.S. Securities Act of 1933 and the U.S. Investment Company Act of 1940.
3. Overseas Chinese living abroad long-term, if permitted by the laws of their country/region of residence to access such information, must still ensure compliance with local securities regulation, foreign exchange management, and other compliance requirements.
4. Apart from the United States and Mainland China, access to and dissemination of information from this website in other countries or regions is considered valid only to the extent it does not violate local laws and regulations. If local laws have mandatory provisions, such provisions shall prevail.
1. Past performance, statistical data, and any form of projections or scenario analyses displayed on this website and in business plans are for reference only and do not represent future performance.
2. Even if historical performance has been favorable, including but not limited to high cumulative returns, low volatility, or high "win rates," there is no guarantee that similar levels will be maintained in the future.
3. Any statements involving "target returns," "expected returns," "simulated scenarios," "stress test results," etc., are forward-looking statements subject to multiple uncertainties such as market conditions, policy changes, and model assumptions. Actual results may differ materially from such statements.
4. Before making any investment decision, investors should independently assess based on their own circumstances and seek advice from professional advisors. They should not regard any data or charts on this website as directly reliable decision-making bases.
Investing in this Fund and similar private products typically involves, but is not limited to, the following risks. The content below is only a summary提示 and cannot exhaust all risk factors:
Underlying asset prices may experience significant volatility, potentially leading to partial or total loss of principal for investors.
Fund interests and certain investment targets may lack liquidity, making it impossible to realize them at expected times or reasonable prices.
Macroeconomic conditions, regulatory policies, tax systems, and legal environments may change, adversely affecting Fund operations and investor returns.
The use of leverage, derivatives, and other structured instruments may amplify returns but also magnify losses.
Counterparties or service providers (including custodians, brokers, clearing institutions, etc.) may default, become insolvent, or experience operational failures.
Model defects, data errors, system failures, cyber attacks, or human operational errors may all cause damage to Fund assets.
Important Notice: The Fund does not guarantee any form of principal security or specific return level. Investors may suffer significant or total losses.
1. Any mention of administrators, legal advisors, audit firms, custodians, or other service providers on this website is merely an objective description of the Fund's service structure and does not constitute a recommendation, guarantee, or endorsement of any third-party institution. Relevant cooperation arrangements may be adjusted over time without prior notice.
2. This website may contain links to third-party websites. Third-party websites are the independent responsibility of their respective operators. Their content and privacy practices are not controlled by the Fund, and the Fund makes no warranties regarding them. Visitors should exercise their own judgment.
1. The text, images, charts, trademarks, logos, and page designs contained on this website are protected by copyright, trademark, and other intellectual property laws. Unless otherwise stated, relevant rights belong to the Fund or its licensors.
2. Without prior written permission from the Fund, no institution or individual may reproduce, republish, alter, store, or publicly disseminate the content of this website in any form. Use is permitted only within the reasonable scope of non-commercial purposes for personal browsing.
1. The Fund will process personal information in accordance with applicable data protection laws. Specific rules will be separately explained in the "Privacy Policy and Data Protection" section.
2. This website may use Cookies or similar technologies to improve user experience and conduct access statistics. By continuing to use this website, you agree to our use of relevant technologies in compliance with legal requirements. You may restrict or disable Cookies through browser settings, but this may affect some functions.
1. The formation, effectiveness, interpretation, and execution of this Legal Notice and Risk Disclosure shall be governed by the laws of the Cayman Islands, without regard to its conflict of law provisions.
2. Any dispute arising from or related to the use of this website shall first be resolved through friendly negotiation between the parties. If negotiation fails, either party may submit the dispute to the competent court in the Cayman Islands for adjudication.
3. If applicable law has mandatory provisions regarding liability limitations or investor protection, the Fund will comply with such mandatory provisions. Any inconsistent parts of these terms shall not apply to the corresponding extent.
1. The Fund reserves the right to update this Legal Notice and Risk Disclosure at any time and will publish the latest version on this website. Updates take effect immediately without individual notice. We recommend that you periodically review this page.
2. This website may provide multilingual versions, including Chinese. If there is any ambiguity or inconsistency between different language versions, the English version shall prevail.