Regulatory Disclosure

Regulatory Disclosure

 

Authorization and Supervision

Gorilla Capital Management Oy (“Gorilla Capital Management”) is authorized as an Alternative Investment Fund Manager under the Finnish Act on Alternative Investment Fund Managers (162/2014). The company is supervised by the Finnish Financial Supervisory Authority (FIN-FSA). Gorilla Capital Management Oy is member of Finnish Venture Capital Association (FVCA), Finnish Business Angel Network (Fiban), Estonian Business Angel Network (Estban) and Swedish Business Angel Network (Sweban).

 

Business ID (Y-tunnus): 2827907-4
Registered address: Hamppukehruukatu 7, 21100 Naantali, Finland

 

Funds Managed

We manage the following closed alternative investment funds:

  • Gorilla Capital Fund 2017 Ky
  • Gorilla Capital Fund III Ky (EUVECA)

Both funds are Finnish limited partnerships (kommandiittiyhtiö) intended for professional investors as defined in the Investment Memorandum.

 

Investor Disclosures

In accordance with Article 23 of the AIFMD and Chapter 6 of the FIN-FSA’s Regulations and Guidelines 4/2014, we provide investors with:

  • The investment strategy, objectives, and restrictions of each fund
  • A description of the main risks and leverage limits
  • Valuation methodology and pricing procedures
  • Liquidity management arrangements and redemption rights
  • Identification of the AIFM, depositary, auditor, and other key service providers
  • All fees, charges, and expenses borne by the fund and investors
  • Policies on fair treatment of investors and any preferential arrangements

This information is provided before investment and updated promptly in the event of material
changes.

 

Annual Reports

Audited annual reports for each fund are made available to investors within six months of the
end of each financial year, as required by law.

 

Valuation and Risk Management

Valuations are performed in accordance with our internal Valuation Policy, which is
consistent with the International Private Equity and Venture Capital Valuation (IPEV) Guidelines. We maintain risk management systems to monitor and manage market, liquidity, and operational risks.

 

Sustainability Disclosures (SFDR)

In line with the EU Sustainable Finance Disclosure Regulation (SFDR) and our investment
memorandum, Gorilla Capital Management currently does not consider principal adverse
impacts of investment decisions on sustainability factors, due to limited availability of
standardized ESG data from early-stage, unlisted companies.

 

Data Protection

We process personal data in compliance with the Finnish law and EU General Data
Protection Regulation (GDPR). Our GDPR Privacy Policy is available.

 

Contact Information

Gorilla Capital Management Oy
2827907-4
Hamppukehruukatu 7, 21100 Naantali
petri@gorillacapital.fi
+358 40 052 5366