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Greenpower Fund

Biz Capital

Greenpower Fund

Open for subscriptions
Unverified

Greenpower Fund

Greenpower Fund is a closed-end alternative investment fund regulated by CMVM (ID: 1530) and managed by Biz Capital, investing in private equity with a minimum commitment of €100,000.

Regulator
CMVM (ID: 1530)
ISIN
PTBZSBIM0003
Strategy
Private Equity
Min. Investment
€100,000
Fund Size
Not disclosed
Management Fee
2%
Performance Fee
None
Lock-up
Not disclosed
Redemptions
Not disclosed
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 (55%)
Last evidence checkMay 14, 2026

Best for

  • Investors seeking private equity 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 are a US person and need confirmed FATCA/PFIC handling.

Key unknowns

  • Fund size
  • Custodian
  • Auditor
  • 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€100,000
Open to USNeeds verification
Lock-up72 months
Fund Size (AUM)Not disclosed

Fees

%Management Fee2%
%Performance FeeNone

Additional Details

Established2026
CMVM ID1530
Regulated ByCMVM

Compliance

CMVM #1530

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

The Greenpower Fund is a renewable‑energy infrastructure fund focused on generating stable, recurring operational cash flows through investments in solar and wind energy assets. With flexibility to invest across Europe, the Fund targets projects characterized by predictable revenues, strong margins, and low operational risk. Investment Strategy: The Fund develops and acquires renewable energy projects—mainly photovoltaic and wind—benefiting from long‑term market fundamentals. Renewable energy currently accounts for around 20% of global energy consumption, and this figure is expected to rise to 85% of global electricity production by 2050, representing one of the most significant structural growth trends worldwide. The strategy emphasizes: Cash‑flow visibility through operational assets with contracted or stable revenue profiles Portfolio diversification across technologies and geographies Low operational volatility supported by experienced technical management teams (20+ years) Attractive tax treatment on capital gains and distributions, depending on investor jurisdiction. Governance & Risk Management The Fund operates under a robust governance framework. All investment and divestment decisions are supervised by an Investor Board, including independent advisors. Exposure to any single project is capped at 33% of total fund assets, reinforcing diversification and concentration control. Operational management teams oversee each asset along its lifecycle, from development to ongoing performance monitoring, ensuring rigorous standards in engineering, risk oversight, and financial discipline. Institutional Investor Fit The Greenpower Fund is designed for institutional investors seeking: Infrastructure exposure with long‑term income stability Participation in Europe’s renewable energy expansion through a structured, professionally managed vehicle Predictable return streams driven by real assets and stable operating environments Low correlation with traditional financial markets Distribution‑focused performance, aligned with the cash‑flow generative nature of renewable assets

Regulatory Identifiers

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

CMVM Registration1530
ISINPTBZSBIM0003

Key Terms

Minimum Investment€100,000
Fund StructurePrivate Equity
Fund Term6 years
DomicilePortugal
CustodianNot disclosed
AuditorNot disclosed
ISINPTBZSBIM0003
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 Fee2%
Performance FeeNone

Fee Calculator

EUR
Incomplete estimate: Performance fee depends on actual returns above any hurdle and is not included in the annual cost estimate.
Annual management fee:€2,000
Performance fee:Depends on returns
Known annual cost:€2,000
Performance fees depend on actual returns above any hurdle. Missing fee disclosures are diligence gaps, not zero-cost assumptions.

Regulatory & Compliance

CMVM Registration1530
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.

Fund Team

5 team members

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

AN
CEO & Founder

Armando Carvalho Nunes is President of BIZ Group and a senior Portuguese investment executive with over three decades of experience in asset...

TB
Chief Financial Officer

Tiago Botelho is a finance professional with background in audit, fund administration, and corporate finance across private equity and renewable...

VF
Asset Manager

Vasco Ferreira is an asset manager with experience overseeing European equity, fixed income, and mixed investment funds. At BIZ Group, he is...

CV
Private Investors Manager

Carlos Varela is a private investors manager focused on supporting international clients investing through Portugal’s Golden Visa framework. He works...

HN
IT Manager

Henrique Nunes is responsible for the information technology and systems infrastructure supporting BIZ Group’s operations. With over a decade of...

Enquire About Greenpower 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.

Fund Tags

Managed by

BC
Biz Capital

Greenpower Fund

Min Investment

€100,000

Target Return

10–15% p.a.

Investment Calculator

Project potential returns based on your investment parameters

Display returns after disclosed management and performance fees

Fund minimum: €100,000

Typical holding period

%

Fund target: 10–15% p.a.

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 Golden Visa eligibility with Portuguese legal counsel. Current key unknowns: Fund size, Custodian, Auditor, Redemptions, Lock-up.

The listed minimum investment is €100,000. 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 (55%). 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 Golden Visa approval or investment performance.

The listed target return is 10–15% p.a.. 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 1530. Investors should verify current registry status and documents before subscribing.

Management fee: 2%. Performance fee: None. Subscription fee: Not disclosed. Missing fee fields should be treated as diligence gaps, not as zero-cost assumptions.

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

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