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Emerald Capital Fund

STAG Fund Management

Emerald Capital Fund

Open for subscriptions
Unverified

Emerald Capital Fund

Emerald Capital Fund is a closed-end alternative investment fund regulated by CMVM (ID: 2051) and managed by STAG Fund Management, investing in clean energy with a minimum commitment of €250,000.

Regulator
CMVM (ID: 2051)
ISIN
PTSFQCIM0009
Strategy
Clean Energy
Min. Investment
€250,000
Fund Size
Not disclosed
Management Fee
0.95%
Performance Fee
Not disclosed
Lock-up
Not disclosed
Redemptions
Not disclosed
Custodian
Bison Bank
Auditor
BDO
Status
Open
GV-intended
Manager-stated GV intent
Sources vary by field; hover icons show source tier.|Last updated: |Verify on CMVM registry

Investor decision panel

What to know before shortlisting this fund

Data completenessLimited (64%)
Last evidence checkMay 29, 2026

Best for

  • Investors seeking clean energy exposure through a Portugal-regulated fund.
  • Investors who need a fund currently open for subscriptions.

Avoid if

  • You need clear liquidity terms before first contact.
  • You need a complete fee schedule before comparing net returns.
  • You are a US person and need confirmed FATCA/PFIC handling.

Key unknowns

  • Fund size
  • Performance fee
  • Redemptions
  • Lock-up

Main diligence flags

  • No major flags detected. Confirm current documents before investing.

Golden Visa note: The manager states this fund is intended for Golden Visa applicants, but this claim is not shown as independently verified here.

Fund Snapshot

Key Facts

Min Investment€250,000
Open to USNot confirmed
Lock-up60 months
Fund Size (AUM)Not disclosed

Fees

%Management Fee0.95%
%Performance FeeNot disclosed

Additional Details

Established2026
CMVM ID2051
Regulated ByCMVM

Compliance

CMVM #2051

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

Historical Performance

No monthly performance data available
Monthly returns, AUM, and NAV will appear when provided by the manager.

About the Fund

A CMVM-regulated Portuguese venture capital fund (FCR) investing in equity in late-stage and operational renewable-energy companies (solar, onshore wind and battery storage), weighted towards Portugal, and structured as a Golden Visa-eligible, non-real-estate route.

The Emerald Capital Fund is a closed-end Portuguese venture capital fund (Fundo de Capital de Risco) managed by STAG Fund Management SCR and regulated by the CMVM (registration 2051). It invests through corporate equity in renewable-energy infrastructure companies developing solar PV, onshore wind and battery-storage projects, with the majority of the portfolio allocated to Portuguese projects and the remainder across other European markets. The fund has a seven-year term with income distributions planned from year three, and applies a 0.95% annual management fee. Subscription fees are 0.5% for Class A and 1.5% for Class B. The fund minimum is EUR 250,000, while investors seeking to qualify for the Portuguese Golden Visa must subscribe at least EUR 500,000 in eligible fund units and hold them for the legal minimum period. Because the exposure is to operating companies rather than property, the fund is positioned as a non-real-estate, Golden Visa-eligible vehicle. Fund data is provided by the manager and pending independent verification.

Regulatory Identifiers

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

CMVM Registration2051
ISINPTSFQCIM0009

Key Terms

Minimum Investment€250,000
Fund StructureClean Energy
Fund Term5 years
DomicilePortugal
CustodianBison Bank
AuditorBDO
ISINPTSFQCIM0009
Typical TicketNot disclosed
Risk BandNot disclosed
Fund Status
Open
Inception Date2026

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

Fees

Fee Structure

Management Fee0.95%
Performance FeeNot disclosed
Subscription Fee0.5%

Fee Calculator

EUR
Incomplete estimate: Missing fee fields are not treated as zero; net-return estimates are incomplete.
Annual management fee:€2,375
Performance fee:Depends on returns
Known annual cost:€2,375
Performance fees depend on actual returns above any hurdle. Missing fee disclosures are diligence gaps, not zero-cost assumptions.

Regulatory & Compliance

CMVM Registration2051
AuditorBDO
CustodianBison Bank
NAV FrequencyNot disclosed
PFIC/QEF Status
Status Unknown

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

Fund Team

8 team members

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

AP
Partner/ Co-CEO

António Pereira brings deep operational and regulatory expertise to STAG, where he oversees core business functions, financial operations, and...

DSDP
Partner/ Co-CEO

Diogo Saraiva de Ponte is an experienced investment leader who has managed more than €1 billion across global private equity, real estate and...

GXM
Board Member

Gisela leads STAG’s Legal and Compliance functions, ensuring adherence to regulatory requirements across all funds. With more than 20 years of...

MPDA
Head of Real Estate

Manuel leads STAG’s Real Estate division, bringing over a decade of international experience in investment management, financial oversight, and...

NH
Director of Business Development

Nathan leads Business Development at STAG Fund Management, focusing on international client acquisition, strategic partnerships, and tailored...

FA
Investor Relations

Francisco serves as Investor Relations at STAG Fund Management, combining a marketing background with hands-on experience across acquisitions, asset...

Enquire About Emerald Capital 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.

Emerald Capital Fund

Min Investment

€250,000

Target Return

Not disclosed

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.

Fee data incomplete

Missing Performance fee. Net-return estimates use known fees only and should not be read as final cost projections.

Investment Calculator

Project potential returns based on your investment parameters

Display returns after disclosed management and performance fees

Fund minimum: €250,000

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.

Frequently Asked Questions

Verify current subscription documents, fee schedule, liquidity terms, tax treatment, custodian/auditor evidence, and fund-route evidence with Portuguese legal counsel. Current key unknowns: Fund size, Performance fee, Redemptions, Lock-up.

The listed minimum investment is €250,000. Redemption frequency is not disclosed and lock-up is not disclosed. Confirm final terms in the fund documents.

This profile currently has limited data completeness (64%). No major flags are currently detected.

No. Verification means selected regulatory, identity, and document checks have been reviewed. It is not financial advice, a suitability assessment, or a guarantee of a Golden Visa outcome or investment performance.

The listed target return is Not disclosed. Past performance and targets are not guarantees. Model net returns only after confirming complete fee and liquidity terms.

Compliance & Structural Details

The profile lists CMVM ID 2051. The listed custodian is Bison Bank. Investors should verify current registry status and documents before subscribing.

Management fee: 0.95%. Performance fee: Not disclosed. Subscription fee: 0.5%. Missing fee fields should be treated as diligence gaps, not as zero-cost assumptions.

The profile marks this fund as Golden Visa intended. Fund-route evidence must still be confirmed against current law, fund documents, and the applicant's own legal file.

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