Sign up for OPIM CONNECT Invitation

For Accredited Investors¹ or Professional Investors² ONLY.

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By clicking ‘Submit, I certify that the information submitted is factually correct; I understand and agree that additional documentation and suitability assessments may be required in accordance with applicable financial regulations in respective jurisdictions prior to any investment or subscriptions to the funds, financial products, or services presented in communications prior to, during, and after OPIM Connect event through OPIM, RCM Alternatives, or associated parties.

Notes & disclaimers

1.  An accredited investor is a person or a business entity who is allowed to deal in securities that may not be registered with financial authorities. They are entitled to such privileged access if they satisfy one (or more) requirements regarding income, net worth, asset size, governance status or professional experience. In the U.S., the term is used by the Securities and Exchange Commission (SEC) under Regulation D to refer to investors who are financially sophisticated and have a reduced need for the protection provided by regulatory disclosure filings. Accredited investors include natural high net worth individuals (HNWI), banks, insurance companies, brokers and trusts.

2. An Institutional Professional Investor means a recognized clearing house, authorized/regulated financial institution, government department/bank, regulated intermediary, registered scheme/collective investment scheme falling under paragraphs (a) to (i) of the definition of “professional investor” in section 1 of Part 1 of Schedule 1 to the Securities and Futures Ordinance (the SFO).

3. A Corporate Professional Investor means a corporation, trust or trustee , or partnership with a portfolio of not less than HK$8 million or its equivalent in any foreign currency; or total assets of not less than HK$40 million or its equivalent in any foreign currency; and if they satisfy certain governance status or professional experience falling under section 4, 6 or 7 of the Securities and Futures (Professional Investors) Rules.