Licensed investment managemen oversight through the ADGM 3C manager framework.
Dedicated IC structure under Nour Partners Fund ICC for approved strategies.
KYC, subscription documents, PPM coordination and onboarding support.
Administrator-led subscription reconciliation, NAV and unit issuance processes.
Investors subscribe into the relevant IC, while the parent ICC, licensed manager and service providers operate through
clearly defined roles.
Understand the manager, strategy, investor base and launch ambition.
Review track record, investment thesis, controls and suitability.
Confirm fit with the platform, governance model and service provider requirements.
Dedicated Incorporated Cell created under Nour Partners Fund ICC.
PPM, subscription documents, operating procedures and provider alignment.
Trident Trust supports KYC, investor file completion and document signing.
Fund administrator reconciles subscription receipts and issues units at last known NAV.
NAV, reporting, risk oversight and manager updates continue under the platform.
This keeps the investor relationship, unit register, fund economics and NAV process aligned to the specific strategy rather than a general pooled structure.