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Digital Insight Fund

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Unverified

Digital Insight Fund

Digital Insight Fund is a closed-end alternative investment fund regulated by CMVM – Comissão do Mercado de Valores Mobiliários and managed by Insight Venture, investing in venture capital with a minimum commitment of €100,000 and a 84-month lock-up period.

Regulator
CMVM – Comissão do Mercado de Valores Mobiliários
Strategy
Venture Capital
Min. Investment
€100,000
Management Fee
2.5%
Performance Fee
12.5%
Lock-up
84 months
Redemptions
Quarterly
Status
Open
GV-intended
No
Source: Manager-reported dataLast updated:

Fund Snapshot

Key Facts

Min Investment€100,000
RedemptionsQuarterly
Open to USYes
Lock-up84 months
Fund Size (AUM)€50

Fees

Management Fee
2.5%
Performance Fee
12.5%

Additional Details

Established2023
Regulated ByCMVM – Comissão do Mercado de Valores Mobiliários

Compliance

Profile Completeness43%

10 of 23 fields populated

Capital at risk. Past performance isn't indicative of future returns. This is not investment advice.

Historical Performance

No performance data available
Performance metrics will appear when data is provided

Fund Overview

About the Fund

A closed-end venture capital fund focusing on digital economy and technology-driven businesses with high scalability potential, particularly in Portugal.

Digital Insight Fund is a sub-fund of Global Insight, specifically designed to invest in the digital economy and technology-driven businesses with exceptional scalability potential and strong competitive positioning. Investment Focus: • At least 60% of invested capital in companies in Portugal or Portuguese subsidiaries abroad • Digital economy sectors including e-commerce platforms, SaaS (Software as a Service) • AI & Machine Learning applications with commercial viability • Digital media and content platforms • Fintech and payment systems innovation • Edtech and online learning platforms • Investment stages from growth capital to early-stage start-ups with proven business models Portfolio Characteristics: • Diversification across 10-15 companies in different digital subsectors • Preference for companies with recurring revenue streams and strong intellectual property • Focus on established user bases and scalable business models • Co-investment with strategic partners to accelerate scale-up and market penetration Fund Structure: • Two investment categories with differentiated participation rights • Category A: €500,000 minimum (Qualified Investors only) - ISIN: PTIGHAIM0000 • Category B: €100,000 minimum (Qualified or non-qualified investors) - ISIN: PTIGHBIM0009 • Performance fee structure favoring Category B investors in later distribution stages Exit Strategy: • Trade sales to strategic acquirers in the technology sector • IPO opportunities for mature digital platforms • Secondary sales to private equity firms focused on technology growth The fund is managed by Insight Venture, a CMVM-licensed Portuguese venture capital management company with deep expertise in technology investments and digital transformation across multiple sectors.

Regulatory Identifiers

We source from CMVM-regulated managers where applicable. Verify each fund's registration and GV suitability with counsel.

ISIN
PTIGHAIM0000

Key Terms

Key Terms

Minimum Investment
€100,000
Fund Structure
Venture Capital
Fund Term
8 years
Domicile
Portugal
Custodian
Not disclosed
Auditor
Not disclosed
ISIN
Not disclosed
Typical Ticket
Not disclosed
Risk Band
Aggressive
Fund Status
Open
Inception Date
2023

Information as reported by fund manager. Terms may vary by investor class.

Financial Details

Fees

Fee Structure

Management Fee2.5%
Performance Fee12.5%

Fee Calculator

Management fee:€2,500
Performance fee*:€12,500
Estimated annual cost:€15,000

Geographic Allocation

Portugal60%
Europe30%
Other10%

Redemption Terms

Redemption Status
Open
FrequencyQuarterly
Lock-up Period84 months (7y)
Additional Terms

This is a closed-end venture capital fund (FCR). Units cannot be redeemed before the end of the fund term. Liquidity is only possible via private secondary sale, subject to manager approval.

Redemption terms may vary by investor class. Verify details with the fund manager.

Fund Structure

Regulatory & Compliance

CMVM RegistrationNot disclosed
AuditorNot disclosed
CustodianNot disclosed
NAV FrequencyNot disclosed
PFIC/QEF Status
Status Unknown

Always confirm regulatory details with the fund manager and legal counsel before investing.

Team Information

Fund Team

1 team member

Team members are employed by the fund manager, not Movingto. Profiles listed for directory comparison.

IVTT

Insight Venture Technology Team

Fund Management

Specialized team within Insight Venture focusing on digital economy investments, technology-driven businesses, and digital transformation initiatives

Enquire About Digital Insight Fund

Speak with a MovingTo advisor about this fund. Our team will review your enquiry and get back to you.

Disclaimer: This enquiry does not constitute investment advice or a commitment to invest. All investments carry risk. Past performance does not guarantee future results.

Important Notice for Investors

Investment in funds involves risks, including the possible loss of principal. Please read all fund documentation carefully before making any investment decisions. Past performance is not indicative of future results.

Using Industry Assumptions

This fund hasn't specified target returns. You can adjust the assumptions below to project potential outcomes.Contact the fund for precise targets.

Investment Calculator

Project potential returns based on your investment parameters

Display returns after management and performance fees

Fund minimum: €100,000

Typical holding period

%

Industry average assumption

Using Industry Assumptions: This projection uses market averages as the fund hasn't specified target returns. Actual performance may differ significantly. Contact the fund manager for fund-specific projections.

Investment Risk Disclosure: These projections are for illustrative purposes only and do not guarantee future performance. Past performance is not indicative of future results. All investments carry risk, including potential loss of principal. Consult with a qualified financial advisor before making investment decisions.

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Frequently Asked Questions

The fund focuses on e-commerce platforms, SaaS applications, AI & Machine Learning, digital media and content, fintech and payment systems, and edtech platforms - all with high scalability potential and proven business models.

The fund prioritizes companies with recurring revenue streams, strong intellectual property, established user bases, and scalable business models. Portfolio diversification across 10-15 companies in different digital subsectors is maintained.

Targeted exit strategies include trade sales to strategic technology acquirers, IPO opportunities for mature digital platforms, and secondary sales to private equity firms focused on technology growth.

Category A requires a minimum of €500,000 (for qualified investors), while Category B requires €100,000 (forany investor). Both have different ISIN codes and performance fee structures, with Category B receiving more favourable terms in the later distribution stages.

At least 60% of invested capital must be allocated to companies in Portugal or Portuguese subsidiaries abroad with operations that benefit Portugal, ensuring significant exposure to the Portuguese digital economy.

The fund employs co-investment strategies with strategic partners to accelerate scale-up and market penetration, leveraging industry expertise and networks to maximize portfolio company potential.

No. As a recent fund (2023 vintage) investing in early-stage companies, it has no realised exits or distributions to date. Returns will materialise over the life of the portfolio.

Insight Venture SCR is supervised by the CMVM, the Portuguese Securities Market Commission. The fund operates under Portugal’s regulated venture-capital framework.

The fund charges a 2.5% annual management fee and a 12.5% performance fee. No subscription or redemption fees are disclosed.

Yes. Insight Venture applies ESG screening across all investments. However, the Digital Insight Fund does not have a formal sustainability objective under SFDR. Only the BlueWater sub-fund is classified with sustainability promotion.

The fund follows a typical venture-capital model with annual NAV assessments or event-driven valuations. There is no monthly performance reporting.

No. The Digital Insight Fund invests strictly in operating companies and does not invest in real estate, directly or indirectly.

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