Investors
Institutional alignment. Disciplined terms.
EC Capital is structured to deliver transparent fund economics, institutional reporting standards, and clear alignment between General Partners and Limited Partners.
Fund I Terms
Fund Size
€50M
Target Fund I
Management Fee
2.0%
Per annum, on committed capital
Carried Interest
20%
On distributions above preferred return
Preferred Return
8%
European waterfall
Fund Life
10 yrs
Plus 2 × 1-year extensions
Portfolio
10–15
Concentrated positions
Investor Commitments
Built for institutional standards.
- Quarterly ReportingAudited NAV statements, portfolio updates, and risk dashboards.
- Annual LP MeetingIn-person convening with full portfolio access and partner Q&A.
- ESG FrameworkEmbedded across diligence, governance and reporting.
- Co-Investment RightsSelective co-invest opportunities for anchor LPs.
- Independent Advisory BoardLP representation on governance and conflicts.
SECURE
Investor Data Room
The EC Capital data room contains the private placement memorandum, fund documentation, portfolio diligence and reporting. Access is granted to qualified institutional investors on request.
Password-protected access available on request.
Investor Relations
Speak with the team.
Submit your details and a member of our investor relations team will respond within two business days.