Experienced Commodity Traders
The team at SEAF represent decades of experience across the broad spectrum of the Global Oil and Energy markets.
SEAF evolved their platform into a unique ecosystem where our constant search for competitive edge provides a strategy delivering market leading returns for HWNI’s, family offices and institutional investors looking to diversify their return streams as well as generating superior risk adjusted returns.
The portfolio is constructed using a number of overlaid strategies exhibiting a low correlation to other asset classes/funds and providing investors with access to markets and instruments not easily accessible to investors’ as they are technically tradable by other hedge funds
Sentinel Energy Alpha Fund’s return information is available to qualified persons on our fund portal. Visit our fund portal page for more information.
2nd Floor, Regatta Office Park,
Leeward 2, West Bay Road,
P.O. Box 10655 I Grand Cayman KY1-1006 I
This website relates to Sentinel Energy Alpha Fund, a mutual fund established in the Cayman Islands as an exempted company with limited liability (the “Fund”). The information set out herein is not directed at (nor intended for distribution to or use by) any person in any jurisdiction where it is illegal or unlawful to access (or be distributed) and/or use such information. Without limiting the generality of the foregoing, this website is not intended for retail clients and must not be accessed by such persons. Neither the Fund nor its shares (the “Shares”) have been approved by (or registered with) any regulatory authority, save that the Fund has been registered as a mutual fund with the Cayman Islands Monetary Authority (“CIMA”). No regulatory authority (including CIMA) has any responsibility for reviewing or verifying this website nor has any such authority passed upon the accuracy or adequacy of this website or the information set out herein. By accessing this website, you acknowledge, represent, warrant and agree that: (i) you are not (nor have elected to be treated as) a retail client and are not otherwise restricted or prohibited under the applicable laws (or equivalent) of your country of citizenship, residence, domicile or place of business from accessing this website or any information regarding the Fund; (ii) you are accessing this website of your own volition, without any inducement, instruction, solicitation or similar action on the part of the Fund or any of its representatives or agents; (iii) the information set out in this website does not constitute (and shall not be construed as) investment, legal, tax or accounting advice nor an offer to sell (nor a solicitation of an offer to buy, nor a recommendation to buy, sell or otherwise participate in) any investment, security or commodity nor to engage in any other transaction; and (iv) this website contains information that is confidential and/or commercially sensitive and you undertake to maintain the confidentiality of the information same and not to duplicate, distribute, share or otherwise disclose the content hereof except with the prior written consent of the Fund. You should inform yourself as to the legal requirements and tax consequences in your country of citizenship, residence, domicile or place of business with respect to accessing this website and/or the acquisition, holding or disposal of any interests in the Fund and consult with an appropriate professional for advice rendered on the basis of your particular situation. Investing in products such as the Fund carries substantial risk and may not be suitable for all investors. The value of the Fund may go up or down and investors may not get back the amount they have invested. Past performance is not indicative of future results and nothing contained in this website should be deemed a prediction, projection, representation or warranty of future outcomes. No representation or warranty, express or implied, is made as to the accuracy, completeness or fairness of the Information or any opinions expressed herein. The information set out herein is qualified in its entirety by reference to the full text of the documents constituting and/or governing the Fund (the “Governing Documents”). Potential investors cannot subscribe for nor purchase any interests in the Fund except on the basis of the Governing Documents, which are available on request.