AUMdb

← Enko Fund Managers Ltd

Form ADV (full filing)

as of Mar 10, 2026 · 1.38 MB · sha256 fb7531b71fc5…

Extracted text

Machine-extracted from the archived PDF. Layout artifacts are expected.

                                                                           FORM ADV
     UNIFORM APPLICATION FOR INVESTMENT ADVISER REGISTRATION AND REPORT BY EXEMPT REPORTING ADVISERS

Primary Business Name: ENKO FUND MANAGERS                                                                                                        CRD Number: 309540
Annual Amendment - All Sections                                                                                                                           Rev. 10/2021
3/10/2026 6:58:06 AM



WARNING: Complete this form truthfully. False statements or omissions may result in denial of your application, revocation of your registration, or criminal
         prosecution. You must keep this form updated by filing periodic amendments. See Form ADV General Instruction 4.
Item 1 Identifying Information

Responses to this Item tell us who you are, where you are doing business, and how we can contact you. If you are filing an umbrella registration, the
information in Item 1 should be provided for the filing adviser only. General Instruction 5 provides information to assist you with filing an umbrella registration.

A.   Your full legal name (if you are a sole proprietor, your last, first, and middle names):
     ENKO FUND MANAGERS LTD


B.   (1) Name under which you primarily conduct your advisory business, if different from Item 1.A.
     ENKO FUND MANAGERS

     List on Section 1.B. of Schedule D any additional names under which you conduct your advisory business.


     (2) If you are using this Form ADV to register more than one investment adviser under an umbrella registration, check this box

     If you check this box, complete a Schedule R for each relying adviser.


C.   If this filing is reporting a change in your legal name (Item 1.A.) or primary business name (Item 1.B.(1)), enter the new name and specify whether the
     name change is of
        your legal name or        your primary business name:


D.   (1) If you are registered with the SEC as an investment adviser, your SEC file number:
     (2) If you report to the SEC as an exempt reporting adviser, your SEC file number: 802-134748
     (3) If you have one or more Central Index Key numbers assigned by the SEC ("CIK Numbers"), all of your CIK numbers:
                                                                              No Information Filed



E.   (1) If you have a number ("CRD Number") assigned by the FINRA's CRD system or by the IARD system, your CRD number: 309540

     If your firm does not have a CRD number, skip this Item 1.E. Do not provide the CRD number of one of your officers, employees, or affiliates.


     (2) If you have additional CRD Numbers, your additional CRD numbers:
                                                                              No Information Filed



F.   Principal Office and Place of Business
     (1) Address (do not use a P.O. Box):
         Number and Street 1:                                                    Number and Street 2:
         14 POUDRIERE STREET, 10TH FLOOR                                         PREMIER BUSINESS CENTER, STERLING TOWER
         City:                                        State:                     Country:              ZIP+4/Postal Code:
         PORT LOUIS                                                              Mauritius

         If this address is a private residence, check this box:

         List on Section 1.F. of Schedule D any office, other than your principal office and place of business, at which you conduct investment advisory business. If
         you are applying for registration, or are registered, with one or more state securities authorities, you must list all of your offices in the state or states to
         which you are applying for registration or with whom you are registered. If you are applying for SEC registration, if you are registered only with the SEC, or
         if you are reporting to the SEC as an exempt reporting adviser, list the largest twenty-five offices in terms of numbers of employees as of the end of your
         most recently completed fiscal year.

     (2) Days of week that you normally conduct business at your principal office and place of business:
           Monday - Friday    Other:

         Normal business hours at this location:
         9 AM - 5 PM
     (3) Telephone number at this location:
         +230 245 6703
     (4) Facsimile number at this location, if any:
     (5) What is the total number of offices, other than your principal office and place of business, at which you conduct investment advisory business as of
         the end of your most recently completed fiscal year?
         5


G.   Mailing address, if different from your principal office and place of business address:

     Number and Street 1:                                                 Number and Street 2:
     1 KNIGHTSBRIDGE GREEN
     City:                                   State:                       Country:                                    ZIP+4/Postal Code:
     LONDON                                                               United Kingdom                              SW1X 7QA


     If this address is a private residence, check this box:


H.   If you are a sole proprietor, state your full residence address, if different from your principal office and place of business address in Item 1.F.:

     Number and Street 1:                                                    Number and Street 2:
     City:                          State:                                   Country:                      ZIP+4/Postal Code:

                                                                                                                                                                      Yes No
I.   Do you have one or more websites or accounts on publicly available social media platforms (including, but not limited to, Twitter, Facebook and
     LinkedIn)?


     If "yes," list all firm website addresses and the address for each of the firm's accounts on publicly available social media platforms on Section 1.I. of Schedule D.
     If a website address serves as a portal through which to access other information you have published on the web, you may list the portal without listing
     addresses for all of the other information. You may need to list more than one portal address. Do not provide the addresses of websites or accounts on publicly
     available social media platforms where you do not control the content. Do not provide the individual electronic mail (e-mail) addresses of employees or the
     addresses of employee accounts on publicly available social media platforms.


J.   Chief Compliance Officer
     (1) Provide the name and contact information of your Chief Compliance Officer. If you are an exempt reporting adviser, you must provide the contact
     information for your Chief Compliance Officer, if you have one. If not, you must complete Item 1.K. below.

     Name:                                                                   Other titles, if any:
     Telephone number:                                                       Facsimile number, if any:
     Number and Street 1:                                                    Number and Street 2:
     City:                          State:                                   Country:                      ZIP+4/Postal Code:


     Electronic mail (e-mail) address, if Chief Compliance Officer has one:


     (2) If your Chief Compliance Officer is compensated or employed by any person other than you, a related person or an investment company registered
     under the Investment Company Act of 1940 that you advise for providing chief compliance officer services to you, provide the person's name and IRS
     Employer Identification Number (if any):
     Name:
     IRS Employer Identification Number:


K.   Additional Regulatory Contact Person: If a person other than the Chief Compliance Officer is authorized to receive information and respond to questions
     about this Form ADV, you may provide that information here.

     Name:                                                                  Titles:
     Telephone number:                                                      Facsimile number, if any:
     Number and Street 1:                                                   Number and Street 2:
     City:                          State:                                  Country:                       ZIP+4/Postal Code:


     Electronic mail (e-mail) address, if contact person has one:

                                                                                                                                                                      Yes No
L.   Do you maintain some or all of the books and records you are required to keep under Section 204 of the Advisers Act, or similar state law,
     somewhere other than your principal office and place of business?


     If "yes," complete Section 1.L. of Schedule D.
                                                                                                                                                                      Yes No
M.   Are you registered with a foreign financial regulatory authority?


     Answer "no" if you are not registered with a foreign financial regulatory authority, even if you have an affiliate that is registered with a foreign financial
     regulatory authority. If "yes," complete Section 1.M. of Schedule D.
                                                                                                                                                                      Yes No
N.   Are you a public reporting company under Sections 12 or 15(d) of the Securities Exchange Act of 1934?

                                                                                                                                                                      Yes No
O.   Did you have $1 billion or more in assets on the last day of your most recent fiscal year?
     If yes, what is the approximate amount of your assets:
          $1 billion to less than $10 billion
           $10 billion to less than $50 billion

           $50 billion or more




      For purposes of Item 1.O. only, "assets" refers to your total assets, rather than the assets you manage on behalf of clients. Determine your total assets using
      the total assets shown on the balance sheet for your most recent fiscal year end.


P.    Provide your Legal Entity Identifier if you have one:
      2138006WBLPO7EKUMV24

      A legal entity identifier is a unique number that companies use to identify each other in the financial marketplace. You may not have a legal entity
      identifier.




SECTION 1.B. Other Business Names


                                                                          No Information Filed



SECTION 1.F. Other Offices

 Complete the following information for each office, other than your principal office and place of business, at which you conduct investment advisory business.
 You must complete a separate Schedule D Section 1.F. for each location. If you are applying for SEC registration, if you are registered only with the SEC, or
 if you are an exempt reporting adviser, list only the largest twenty-five offices (in terms of numbers of employees).


 Number and Street 1:                                                     Number and Street 2:
 1 KNIGHTSBRIDGE GREEN
 City:                                                  State:            Country:                                ZIP+4/Postal Code:
 LONDON                                                                   United Kingdom                          SW1X7QA


 If this address is a private residence, check this box:


 Telephone Number:                                      Facsimile Number, if any:
 +442078810030


 If this office location is also required to be registered with FINRA or a state securities authority as a branch office location for a broker-dealer or investment
 adviser on the Uniform Branch Office Registration Form (Form BR), please provide the CRD Branch Number here:


 How many employees perform investment advisory functions from this office location?
 7


 Are other business activities conducted at this office location? (check all that apply)
     (1) Broker-dealer (registered or unregistered)
     (2) Bank (including a separately identifiable department or division of a bank)
     (3) Insurance broker or agent
     (4) Commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
     (5) Registered municipal advisor
     (6) Accountant or accounting firm
     (7) Lawyer or law firm


 Describe any other investment-related business activities conducted from this office location:
 PROVIDE INVESTMENT ADVISORY AND TRADE EXECUTION SERVICES TO THE ENKO AFRICA DEBT FUND. PROVIDE RESEARCH AND INVESTMENT ADVISORY
 SERVICES TO OTHER ENKO-MANAGED FUNDS.




 Complete the following information for each office, other than your principal office and place of business, at which you conduct investment advisory business.
 You must complete a separate Schedule D Section 1.F. for each location. If you are applying for SEC registration, if you are registered only with the SEC, or
 if you are an exempt reporting adviser, list only the largest twenty-five offices (in terms of numbers of employees).


 Number and Street 1:                                                                  Number and Street 2:
 38 WIERDA ROAD EAST, WIERDA VALLEY                                                    FIRST FLOOR THE PLANES, HUNTSEND
 City:                                                           State:                Country:                     ZIP+4/Postal Code:
 SANDTON                                                                               South Africa                 2196
If this address is a private residence, check this box:


Telephone Number:                                              Facsimile Number, if any:
+27117830182


If this office location is also required to be registered with FINRA or a state securities authority as a branch office location for a broker-dealer or investment
adviser on the Uniform Branch Office Registration Form (Form BR), please provide the CRD Branch Number here:


How many employees perform investment advisory functions from this office location?
11


Are other business activities conducted at this office location? (check all that apply)
  (1) Broker-dealer (registered or unregistered)
  (2) Bank (including a separately identifiable department or division of a bank)
  (3) Insurance broker or agent
  (4) Commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
  (5) Registered municipal advisor
  (6) Accountant or accounting firm
  (7) Lawyer or law firm


Describe any other investment-related business activities conducted from this office location:
BACK/MIDDLE OFFICE SUPPORT TO THE ENKO AFRICA DEBT FUND. MARKETING SERVICES IN RESPECT OF ENKO GROUP MANAGED FUNDS. INVESTMENT
MANAGER FOR SINGLE INVESTMENT VEHICLE. INVESTMENT ANALYST SUPPORT TO ENKO-MANAGED FUNDS.




Complete the following information for each office, other than your principal office and place of business, at which you conduct investment advisory business.
You must complete a separate Schedule D Section 1.F. for each location. If you are applying for SEC registration, if you are registered only with the SEC, or
if you are an exempt reporting adviser, list only the largest twenty-five offices (in terms of numbers of employees).


Number and Street 1:                                                Number and Street 2:
112 BOULEVARD ARSENE USHER ASSOUAN                                  CARREFOUR MEL EG, IMMEUBLE BRANDON & MCAIN PORTE 4
City:                                              State:           Country:                                                ZIP+4/Postal Code:
ABIDJAN                                                             Cote de Ivoire (Ivory Coast)                            01BP5760


If this address is a private residence, check this box:


Telephone Number:                                  Facsimile Number, if any:
+22547133146


If this office location is also required to be registered with FINRA or a state securities authority as a branch office location for a broker-dealer or investment
adviser on the Uniform Branch Office Registration Form (Form BR), please provide the CRD Branch Number here:


How many employees perform investment advisory functions from this office location?
5


Are other business activities conducted at this office location? (check all that apply)
  (1) Broker-dealer (registered or unregistered)
  (2) Bank (including a separately identifiable department or division of a bank)
  (3) Insurance broker or agent
  (4) Commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
  (5) Registered municipal advisor
  (6) Accountant or accounting firm
  (7) Lawyer or law firm


Describe any other investment-related business activities conducted from this office location:
MANAGE LOCALLY REGISTERED INVESTMENT FUNDS FOR LOCAL INVESTORS. MANAGE SEPARATE ACCOUNTS FOR LOCAL INSTITUTIONAL INVESTORS. SOURCE
INVESTMENTS FOR OTHER ENKO-MANAGED FUNDS.




Complete the following information for each office, other than your principal office and place of business, at which you conduct investment advisory business.
You must complete a separate Schedule D Section 1.F. for each location. If you are applying for SEC registration, if you are registered only with the SEC, or
if you are an exempt reporting adviser, list only the largest twenty-five offices (in terms of numbers of employees).
Number and Street 1:                                                            Number and Street 2:
KIMIHURURA                                                                      GASABO
City:                                                       State:              Country:                   ZIP+4/Postal Code:
UMUJYI WA KIGALI                                                                Rwanda


If this address is a private residence, check this box:


Telephone Number:                                           Facsimile Number, if any:
+250788307734


If this office location is also required to be registered with FINRA or a state securities authority as a branch office location for a broker-dealer or investment
adviser on the Uniform Branch Office Registration Form (Form BR), please provide the CRD Branch Number here:


How many employees perform investment advisory functions from this office location?
1


Are other business activities conducted at this office location? (check all that apply)
  (1) Broker-dealer (registered or unregistered)
  (2) Bank (including a separately identifiable department or division of a bank)
  (3) Insurance broker or agent
  (4) Commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
  (5) Registered municipal advisor
  (6) Accountant or accounting firm
  (7) Lawyer or law firm


Describe any other investment-related business activities conducted from this office location:
INVESTMENT MANAGEMENT & ADVISORY ACTIVITIES FOR SINGULAR FUND. INVESTMENT ANALYST SUPPORT TO ENKO-MANAGED FUNDS.




Complete the following information for each office, other than your principal office and place of business, at which you conduct investment advisory business.
You must complete a separate Schedule D Section 1.F. for each location. If you are applying for SEC registration, if you are registered only with the SEC, or
if you are an exempt reporting adviser, list only the largest twenty-five offices (in terms of numbers of employees).


Number and Street 1:                                                                      Number and Street 2:
LOT 109, MOKA BUSINESS CENTRE                                                             MONTAGNE ORY ROAD, MOKA
City:                                                            State:                   Country:              ZIP+4/Postal Code:
PORT LOUIS                                                                                Mauritius             80813


If this address is a private residence, check this box:


Telephone Number:                                                Facsimile Number, if any:
+442078810030


If this office location is also required to be registered with FINRA or a state securities authority as a branch office location for a broker-dealer or investment
adviser on the Uniform Branch Office Registration Form (Form BR), please provide the CRD Branch Number here:


How many employees perform investment advisory functions from this office location?
1


Are other business activities conducted at this office location? (check all that apply)
  (1) Broker-dealer (registered or unregistered)
  (2) Bank (including a separately identifiable department or division of a bank)
  (3) Insurance broker or agent
  (4) Commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
  (5) Registered municipal advisor
  (6) Accountant or accounting firm
  (7) Lawyer or law firm


Describe any other investment-related business activities conducted from this office location:
SECTION 1.I. Website Addresses

 List your website addresses, including addresses for accounts on publicly available social media platforms where you control the content (including, but not
 limited to, Twitter, Facebook and/or LinkedIn). You must complete a separate Schedule D Section 1.I. for each website or account on a publicly available
 social media platform.


 Address of Website/Account on Publicly Available Social Media Platform:     https://www.linkedin.com/company/enko-capital/




 Address of Website/Account on Publicly Available Social Media Platform:     https://enkocapital.com/




SECTION 1.L. Location of Books and Records

 Complete the following information for each location at which you keep your books and records, other than your principal office and place of business. You
 must complete a separate Schedule D, Section 1.L. for each location.


 Name of entity where books and records are kept:
 ENKO CAPITAL MANAGEMENT LLP


 Number and Street 1:                                                    Number and Street 2:
 1 KNIGHTSBRIDGE GREEN
 City:                                                 State:            Country:                             ZIP+4/Postal Code:
 LONDON                                                                  United Kingdom                       SW1X 7QA


 If this address is a private residence, check this box:


 Telephone Number:                                     Facsimile number, if any:
 +442078810030


 This is (check one):
    one of your branch offices or affiliates.

    a third-party unaffiliated recordkeeper.

    other.



 Briefly describe the books and records kept at this location.
 TRADE INFORMATION INVESTMENT RESEARCH INVESTOR INFORMATION FINANCIAL INFORMATION ACCOUNTING INFORMATION COMPLIANCE AND
 REGULATORY INFORMATION RISK INFORMATION MARKETING COMMUNICATIONS AND MATERIALS




 Name of entity where books and records are kept:
 IQ EQ FUND SERVICES (MAURITIUS) LTD


 Number and Street 1:                                                              Number and Street 2:
 33, EDITH CAVELL STREET
 City:                                                      State:                 Country:               ZIP+4/Postal Code:
 PORT-LOUIS                                                                        Mauritius              11324


 If this address is a private residence, check this box:


 Telephone Number:                                          Facsimile number, if any:
 +230 212 9800


 This is (check one):
    one of your branch offices or affiliates.

    a third-party unaffiliated recordkeeper.

    other.



 Briefly describe the books and records kept at this location.
 TRADE CONFIRMATIONS FINANCIAL INFORMATION FINANCIAL ACCOUNTS NAV DATA SUBSCRIPTION AND REDEMPTION INFORMATION SHAREHOLDER
 REGISTRY BOARD MINUTES AND RESOLUTIONS
 Name of entity where books and records are kept:
 ENKO FUND MANAGERS LTD


 Number and Street 1:                                            Number and Street 2:
 14 POUDRIÈRE STREET                                             PREMIER BUSINESS CENTRE, STERLING TOWER
 City:                                          State:           Country:                         ZIP+4/Postal Code:
 PORT LOUIS                                                      Mauritius


 If this address is a private residence, check this box:


 Telephone Number:                              Facsimile number, if any:
 +44 (0) 20 78


 This is (check one):
    one of your branch offices or affiliates.

    a third-party unaffiliated recordkeeper.

    other.



 Briefly describe the books and records kept at this location.
 CORPORATE DOCUMENTS, ETC.




 Name of entity where books and records are kept:
 ENKO FUND MANAGERS LTD


 Number and Street 1:                                                                 Number and Street 2:
 LOT 109, MOKA BUSINESS CENTRE                                                        MONTAGNE ORY ROAD, MOKA
 City:                                                           State:               Country:                 ZIP+4/Postal Code:
 PORT LOUIS                                                                           Mauritius                80813


 If this address is a private residence, check this box:


 Telephone Number:                                               Facsimile number, if any:
 +442078810030


 This is (check one):
    one of your branch offices or affiliates.

    a third-party unaffiliated recordkeeper.

    other.



 Briefly describe the books and records kept at this location.
 CORPORATE DOCUMENTS, ETC.




SECTION 1.M. Registration with Foreign Financial Regulatory Authorities

 List the name and country, in English, of each foreign financial regulatory authority with which you are registered. You must complete a separate Schedule D
 Section 1.M. for each foreign financial regulatory authority with whom you are registered.


 Name of Country/Foreign Financial Regulatory Authority:
 Mauritius, Republic of - Financial Services Commission


 Other:




 Name of Country/Foreign Financial Regulatory Authority:
 United Kingdom - Financial Conduct Authority


 Other:
Item 2 SEC Registration/Reporting
SEC Reporting by Exempt Reporting Advisers
B.   Complete this Item 2.B. only if you are reporting to the SEC as an exempt reporting adviser. Check all that apply. You:
        (1) qualify for the exemption from registration as an adviser solely to one or more venture capital funds, as defined in rule 203(l)-1;
        (2)   qualify for the exemption from registration because you act solely as an adviser to private funds and have assets under management, as defined
              in rule 203(m)-1, in the United States of less than $150 million;
        (3)   act solely as an adviser to private funds but you are no longer eligible to check box 2.B.(2) because you have assets under management, as
              defined in rule 203(m)-1, in the United States of $150 million or more.


        If you check box (2) or (3), complete Section 2.B. of Schedule D.



SECTION 2.B. Private Fund Assets
If you check Item 2.B.(2) or (3), what is the amount of the private fund assets that you manage?                                                     $ 1058847039


NOTE: "Private fund assets" has the same meaning here as it has under rule 203(m)-1. If you are an investment adviser with its principal office and place of
business outside the United States only include private fund assets that you manage at a place of business in the United States.




Item 3 Form of Organization
If you are filing an umbrella registration, the information in Item 3 should be provided for the filing adviser only.
A.   How are you organized?
          Corporation

          Sole Proprietorship

          Limited Liability Partnership (LLP)

          Partnership

          Limited Liability Company (LLC)

          Limited Partnership (LP)

          Other (specify):   COMPANY INCORPORATED UNDER THE LAWS OF MAURITIUS


     If you are changing your response to this Item, see Part 1A Instruction 4.


B.   In what month does your fiscal year end each year?
     DECEMBER


C.   Under the laws of what state or country are you organized?
      State Country
              Mauritius


     If you are a partnership, provide the name of the state or country under whose laws your partnership was formed. If you are a sole proprietor, provide the
     name of the state or country where you reside.

     If you are changing your response to this Item, see Part 1A Instruction 4.




Item 6 Other Business Activities

In this Item, we request information about your firm's other business activities.

A.   You are actively engaged in business as a (check all that apply):
          (1)    broker-dealer (registered or unregistered)
          (2)    registered representative of a broker-dealer
          (3)    commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
          (4)    futures commission merchant
          (5)    real estate broker, dealer, or agent
          (6)    insurance broker or agent
          (7)    bank (including a separately identifiable department or division of a bank)
          (8)    trust company
          (9)    registered municipal advisor
          (10)   registered security-based swap dealer
          (11)   major security-based swap participant
          (12)   accountant or accounting firm
          (13)   lawyer or law firm
          (14)   other financial product salesperson (specify):
     If you engage in other business using a name that is different from the names reported in Items 1.A. or 1.B.(1), complete Section 6.A. of Schedule D.
                                                                                                                                                                Yes No
B.   (1)   Are you actively engaged in any other business not listed in Item 6.A. (other than giving investment advice)?

     (2)   If yes, is this other business your primary business?

           If "yes," describe this other business on Section 6.B.(2) of Schedule D, and if you engage in this business under a different name, provide that name.
                                                                                                                                                                Yes No
     (3)   Do you sell products or provide services other than investment advice to your advisory clients?


           If "yes," describe this other business on Section 6.B.(3) of Schedule D, and if you engage in this business under a different name, provide that name.




SECTION 6.A. Names of Your Other Businesses


                                                                         No Information Filed


SECTION 6.B.(2) Description of Primary Business
Describe your primary business (not your investment advisory business):


If you engage in that business under a different name, provide that name:




SECTION 6.B.(3) Description of Other Products and Services
Describe other products or services you sell to your client. You may omit products and services that you listed in Section 6.B.(2) above.


If you engage in that business under a different name, provide that name:




Item 7 Financial Industry Affiliations

In this Item, we request information about your financial industry affiliations and activities. This information identifies areas in which conflicts of interest may
occur between you and your clients.

A.   This part of Item 7 requires you to provide information about you and your related persons, including foreign affiliates. Your related persons are all of your
     advisory affiliates and any person that is under common control with you.
     You have a related person that is a (check all that apply):
           (1)    broker-dealer, municipal securities dealer, or government securities broker or dealer (registered or unregistered)
           (2)    other investment adviser (including financial planners)
           (3)    registered municipal advisor
           (4)    registered security-based swap dealer
           (5)    major security-based swap participant
           (6)    commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
           (7)    futures commission merchant
           (8)    banking or thrift institution
           (9)    trust company
           (10)   accountant or accounting firm
           (11)   lawyer or law firm
           (12)   insurance company or agency
           (13)   pension consultant
           (14)   real estate broker or dealer
           (15)   sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles
           (16)   sponsor, general partner, managing member (or equivalent) of pooled investment vehicles

     Note that Item 7.A. should not be used to disclose that some of your employees perform investment advisory functions or are registered representatives of a
     broker-dealer. The number of your firm's employees who perform investment advisory functions should be disclosed under Item 5.B.(1). The number of your
     firm's employees who are registered representatives of a broker-dealer should be disclosed under Item 5.B.(2).

     Note that if you are filing an umbrella registration, you should not check Item 7.A.(2) with respect to your relying advisers, and you do not have to complete
     Section 7.A. in Schedule D for your relying advisers. You should complete a Schedule R for each relying adviser.

     For each related person, including foreign affiliates that may not be registered or required to be registered in the United States, complete Section 7.A. of
     Schedule D.

     You do not need to complete Section 7.A. of Schedule D for any related person if: (1) you have no business dealings with the related person in connection with
     advisory services you provide to your clients; (2) you do not conduct shared operations with the related person; (3) you do not refer clients or business to the
     related person, and the related person does not refer prospective clients or business to you; (4) you do not share supervised persons or premises with the
     related person; and (5) you have no reason to believe that your relationship with the related person otherwise creates a conflict of interest with your clients.
      You must complete Section 7.A. of Schedule D for each related person acting as qualified custodian in connection with advisory services you provide to your
      clients (other than any mutual fund transfer agent pursuant to rule 206(4)-2(b)(1)), regardless of whether you have determined the related person to be
      operationally independent under rule 206(4)-2 of the Advisers Act.



SECTION 7.A. Financial Industry Affiliations

Complete a separate Schedule D Section 7.A. for each related person listed in Item 7.A.


1.   Legal Name of Related Person:
     ENKO CAPITAL INVESTMENTS PTY LIMITED


2.   Primary Business Name of Related Person:
     ENKO CAPITAL INVESTMENTS


3.   Related Person's SEC File Number (if any) (e.g., 801-, 8-, 866-, 802-)
     -
     or
     Other


4.   Related Person's
     (a)   CRD Number (if any):


     (b)   CIK Number(s) (if any):
                                                                               No Information Filed



5.   Related Person is: (check all that apply)
     (a)         broker-dealer, municipal securities dealer, or government securities broker or dealer
     (b)         other investment adviser (including financial planners)
     (c)         registered municipal advisor
     (d)         registered security-based swap dealer
     (e)         major security-based swap participant
     (f)         commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
     (g)         futures commission merchant
     (h)         banking or thrift institution
     (i)         trust company
     (j)         accountant or accounting firm
     (k)         lawyer or law firm
     (l)         insurance company or agency
     (m)         pension consultant
     (n)         real estate broker or dealer
     (o)         sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles
     (p)         sponsor, general partner, managing member (or equivalent) of pooled investment vehicles
                                                                                                                                                              Yes No
6.   Do you control or are you controlled by the related person?


7.   Are you and the related person under common control?


8.   (a)   Does the related person act as a qualified custodian for your clients in connection with advisory services you provide to clients?
     (b)   If you are registering or registered with the SEC and you have answered "yes," to question 8.(a) above, have you overcome the
           presumption that you are not operationally independent (pursuant to rule 206(4)-2(d)(5)) from the related person and thus are not required
           to obtain a surprise examination for your clients' funds or securities that are maintained at the related person?
     (c)   If you have answered "yes" to question 8.(a) above, provide the location of the related person's office responsible for custody of your clients' assets:
           Number and Street 1:                                                Number and Street 2:
           City:                         State:                                Country:                   ZIP+4/Postal Code:
           If this address is a private residence, check this box:
                                                                                                                                                              Yes No
9.   (a)   If the related person is an investment adviser, is it exempt from registration?

     (b)   If the answer is yes, under what exemption?
           FOREIGN PRIVATE ADVISER


10. (a)    Is the related person registered with a foreign financial regulatory authority ?
     (b)   If the answer is yes, list the name and country, in English of each foreign financial regulatory authority with which the related person is registered.
           Name of Country/English Name of Foreign Financial Regulatory Authority
             South Africa - Financial Services Board

11. Do you and the related person share any supervised persons?
12. Do you and the related person share the same physical location?




1.   Legal Name of Related Person:
     ENKO CAPITAL MANAGEMENT (PTY) LTD (SOUTH AFRICA)


2.   Primary Business Name of Related Person:
     ENKO CAPITAL MANAGERS


3.   Related Person's SEC File Number (if any) (e.g., 801-, 8-, 866-, 802-)
     -
     or
     Other


4.   Related Person's
     (a)   CRD Number (if any):


     (b)   CIK Number(s) (if any):
                                                                               No Information Filed



5.   Related Person is: (check all that apply)
     (a)       broker-dealer, municipal securities dealer, or government securities broker or dealer
     (b)       other investment adviser (including financial planners)
     (c)       registered municipal advisor
     (d)        registered security-based swap dealer
     (e)       major security-based swap participant
     (f)       commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
     (g)       futures commission merchant
     (h)       banking or thrift institution
     (i)       trust company
     (j)       accountant or accounting firm
     (k)       lawyer or law firm
     (l)       insurance company or agency
     (m)        pension consultant
     (n)        real estate broker or dealer
     (o)       sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles
     (p)       sponsor, general partner, managing member (or equivalent) of pooled investment vehicles
                                                                                                                                                              Yes No
6.   Do you control or are you controlled by the related person?


7.   Are you and the related person under common control?


8.   (a)   Does the related person act as a qualified custodian for your clients in connection with advisory services you provide to clients?
     (b)   If you are registering or registered with the SEC and you have answered "yes," to question 8.(a) above, have you overcome the
           presumption that you are not operationally independent (pursuant to rule 206(4)-2(d)(5)) from the related person and thus are not required
           to obtain a surprise examination for your clients' funds or securities that are maintained at the related person?
     (c)   If you have answered "yes" to question 8.(a) above, provide the location of the related person's office responsible for custody of your clients' assets:
           Number and Street 1:                                                Number and Street 2:
           City:                         State:                                Country:                   ZIP+4/Postal Code:
           If this address is a private residence, check this box:
                                                                                                                                                              Yes No
9.   (a)   If the related person is an investment adviser, is it exempt from registration?

     (b)   If the answer is yes, under what exemption?
           FOREIGN PRIVATE ADVISER


10. (a)    Is the related person registered with a foreign financial regulatory authority ?
     (b)   If the answer is yes, list the name and country, in English of each foreign financial regulatory authority with which the related person is registered.
                                                                             No Information Filed
11. Do you and the related person share any supervised persons?


12. Do you and the related person share the same physical location?




1.   Legal Name of Related Person:
     ENKO CAPITAL WEST AFRICA


2.   Primary Business Name of Related Person:
     ENKO CAPITAL WEST AFRICA


3.   Related Person's SEC File Number (if any) (e.g., 801-, 8-, 866-, 802-)
     -
     or
     Other


4.   Related Person's
     (a)   CRD Number (if any):


     (b)   CIK Number(s) (if any):
                                                                               No Information Filed



5.   Related Person is: (check all that apply)
     (a)        broker-dealer, municipal securities dealer, or government securities broker or dealer
     (b)        other investment adviser (including financial planners)
     (c)        registered municipal advisor
     (d)        registered security-based swap dealer
     (e)        major security-based swap participant
     (f)        commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
     (g)        futures commission merchant
     (h)        banking or thrift institution
     (i)        trust company
     (j)        accountant or accounting firm
     (k)        lawyer or law firm
     (l)        insurance company or agency
     (m)        pension consultant
     (n)        real estate broker or dealer
     (o)        sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles
     (p)        sponsor, general partner, managing member (or equivalent) of pooled investment vehicles
                                                                                                                                                              Yes No
6.   Do you control or are you controlled by the related person?


7.   Are you and the related person under common control?


8.   (a)   Does the related person act as a qualified custodian for your clients in connection with advisory services you provide to clients?
     (b)   If you are registering or registered with the SEC and you have answered "yes," to question 8.(a) above, have you overcome the
           presumption that you are not operationally independent (pursuant to rule 206(4)-2(d)(5)) from the related person and thus are not required
           to obtain a surprise examination for your clients' funds or securities that are maintained at the related person?
     (c)   If you have answered "yes" to question 8.(a) above, provide the location of the related person's office responsible for custody of your clients' assets:
           Number and Street 1:                                                Number and Street 2:
           City:                         State:                                Country:                   ZIP+4/Postal Code:
           If this address is a private residence, check this box:
                                                                                                                                                              Yes No
9.   (a)   If the related person is an investment adviser, is it exempt from registration?

     (b)   If the answer is yes, under what exemption?
           FOREIGN PRIVATE ADVISER


10. (a)    Is the related person registered with a foreign financial regulatory authority ?
     (b)   If the answer is yes, list the name and country, in English of each foreign financial regulatory authority with which the related person is registered.
           Name of Country/English Name of Foreign Financial Regulatory Authority
             Other ­ CONSEIL RÉGIONAL DE L'EPARGNE PUBLIQUE ET DES MARCHÉS FINANCIERS

11. Do you and the related person share any supervised persons?


12. Do you and the related person share the same physical location?




1.   Legal Name of Related Person:
     ENKO CAPITAL CENTRAL AFRICA LTD


2.   Primary Business Name of Related Person:
     ENKO CAPITAL CENTRAL AFRICA LTD
3.   Related Person's SEC File Number (if any) (e.g., 801-, 8-, 866-, 802-)
     -
     or
     Other


4.   Related Person's
     (a)   CRD Number (if any):


     (b)   CIK Number(s) (if any):
                                                                               No Information Filed



5.   Related Person is: (check all that apply)
     (a)        broker-dealer, municipal securities dealer, or government securities broker or dealer
     (b)        other investment adviser (including financial planners)
     (c)        registered municipal advisor
     (d)        registered security-based swap dealer
     (e)        major security-based swap participant
     (f)        commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
     (g)        futures commission merchant
     (h)        banking or thrift institution
     (i)        trust company
     (j)        accountant or accounting firm
     (k)        lawyer or law firm
     (l)        insurance company or agency
     (m)        pension consultant
     (n)        real estate broker or dealer
     (o)        sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles
     (p)        sponsor, general partner, managing member (or equivalent) of pooled investment vehicles
                                                                                                                                                              Yes No
6.   Do you control or are you controlled by the related person?


7.   Are you and the related person under common control?


8.   (a)   Does the related person act as a qualified custodian for your clients in connection with advisory services you provide to clients?
     (b)   If you are registering or registered with the SEC and you have answered "yes," to question 8.(a) above, have you overcome the
           presumption that you are not operationally independent (pursuant to rule 206(4)-2(d)(5)) from the related person and thus are not required
           to obtain a surprise examination for your clients' funds or securities that are maintained at the related person?
     (c)   If you have answered "yes" to question 8.(a) above, provide the location of the related person's office responsible for custody of your clients' assets:
           Number and Street 1:                                                Number and Street 2:
           City:                         State:                                Country:                   ZIP+4/Postal Code:
           If this address is a private residence, check this box:
                                                                                                                                                              Yes No
9.   (a)   If the related person is an investment adviser, is it exempt from registration?

     (b)   If the answer is yes, under what exemption?
           PRIVATE FUND ADVISER


10. (a)    Is the related person registered with a foreign financial regulatory authority ?
     (b)   If the answer is yes, list the name and country, in English of each foreign financial regulatory authority with which the related person is registered.
           Name of Country/English Name of Foreign Financial Regulatory Authority
             Other - CAMEROON - CENTRAL AFRICAN FINANCIAL MARKET SUPERVISORY COMMISSION (CONSUMAF)

11. Do you and the related person share any supervised persons?


12. Do you and the related person share the same physical location?




1.   Legal Name of Related Person:
     ENKO CAPITAL RWANDA LTD


2.   Primary Business Name of Related Person:
     ENKO CAPITAL RWANDA LTD


3.   Related Person's SEC File Number (if any) (e.g., 801-, 8-, 866-, 802-)
     -
     or
     Other


4.   Related Person's
     (a)   CRD Number (if any):


     (b)   CIK Number(s) (if any):
                                                                               No Information Filed



5.   Related Person is: (check all that apply)
     (a)       broker-dealer, municipal securities dealer, or government securities broker or dealer
     (b)       other investment adviser (including financial planners)
     (c)       registered municipal advisor
     (d)        registered security-based swap dealer
     (e)       major security-based swap participant
     (f)       commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
     (g)       futures commission merchant
     (h)       banking or thrift institution
     (i)       trust company
     (j)       accountant or accounting firm
     (k)       lawyer or law firm
     (l)       insurance company or agency
     (m)        pension consultant
     (n)        real estate broker or dealer
     (o)       sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles
     (p)       sponsor, general partner, managing member (or equivalent) of pooled investment vehicles
                                                                                                                                                              Yes No
6.   Do you control or are you controlled by the related person?


7.   Are you and the related person under common control?


8.   (a)   Does the related person act as a qualified custodian for your clients in connection with advisory services you provide to clients?
     (b)   If you are registering or registered with the SEC and you have answered "yes," to question 8.(a) above, have you overcome the
           presumption that you are not operationally independent (pursuant to rule 206(4)-2(d)(5)) from the related person and thus are not required
           to obtain a surprise examination for your clients' funds or securities that are maintained at the related person?
     (c)   If you have answered "yes" to question 8.(a) above, provide the location of the related person's office responsible for custody of your clients' assets:
           Number and Street 1:                                                Number and Street 2:
           City:                         State:                                Country:                   ZIP+4/Postal Code:
           If this address is a private residence, check this box:
                                                                                                                                                              Yes No
9.   (a)   If the related person is an investment adviser, is it exempt from registration?

     (b)   If the answer is yes, under what exemption?
           PRIVATE FUND ADVISER


10. (a)    Is the related person registered with a foreign financial regulatory authority ?
     (b)   If the answer is yes, list the name and country, in English of each foreign financial regulatory authority with which the related person is registered.
                                                                             No Information Filed
11. Do you and the related person share any supervised persons?


12. Do you and the related person share the same physical location?




1.   Legal Name of Related Person:
     ENKO CAPITAL MANAGEMENT LLP


2.   Primary Business Name of Related Person:
     ENKO CAPITAL MANAGEMENT


3.   Related Person's SEC File Number (if any) (e.g., 801-, 8-, 866-, 802-)
     802 - 119359
     or
     Other


4.   Related Person's
     (a)   CRD Number (if any):
           309541
     (b)   CIK Number(s) (if any):
                                                                               No Information Filed



5.   Related Person is: (check all that apply)
     (a)        broker-dealer, municipal securities dealer, or government securities broker or dealer
     (b)        other investment adviser (including financial planners)
     (c)        registered municipal advisor
     (d)        registered security-based swap dealer
     (e)        major security-based swap participant
     (f)        commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
     (g)        futures commission merchant
     (h)        banking or thrift institution
     (i)        trust company
     (j)        accountant or accounting firm
     (k)        lawyer or law firm
     (l)        insurance company or agency
     (m)        pension consultant
     (n)        real estate broker or dealer
     (o)        sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles
     (p)        sponsor, general partner, managing member (or equivalent) of pooled investment vehicles
                                                                                                                                                              Yes No
6.   Do you control or are you controlled by the related person?


7.   Are you and the related person under common control?


8.   (a)   Does the related person act as a qualified custodian for your clients in connection with advisory services you provide to clients?
     (b)   If you are registering or registered with the SEC and you have answered "yes," to question 8.(a) above, have you overcome the
           presumption that you are not operationally independent (pursuant to rule 206(4)-2(d)(5)) from the related person and thus are not required
           to obtain a surprise examination for your clients' funds or securities that are maintained at the related person?
     (c)   If you have answered "yes" to question 8.(a) above, provide the location of the related person's office responsible for custody of your clients' assets:
           Number and Street 1:                                                Number and Street 2:
           City:                         State:                                Country:                   ZIP+4/Postal Code:
           If this address is a private residence, check this box:
                                                                                                                                                              Yes No
9.   (a)   If the related person is an investment adviser, is it exempt from registration?

     (b)   If the answer is yes, under what exemption?
           PRIVATE FUND ADVISER


10. (a)    Is the related person registered with a foreign financial regulatory authority ?
     (b)   If the answer is yes, list the name and country, in English of each foreign financial regulatory authority with which the related person is registered.
           Name of Country/English Name of Foreign Financial Regulatory Authority
             United Kingdom - Financial Conduct Authority

11. Do you and the related person share any supervised persons?


12. Do you and the related person share the same physical location?




1.   Legal Name of Related Person:
     ENKO CAPITAL MANAGERS LTD (MAURITIUS)


2.   Primary Business Name of Related Person:
     ENKO CAPITAL MANAGERS


3.   Related Person's SEC File Number (if any) (e.g., 801-, 8-, 866-, 802-)
     -
     or
     Other


4.   Related Person's
     (a)   CRD Number (if any):


     (b)   CIK Number(s) (if any):
                                                                               No Information Filed
5.    Related Person is: (check all that apply)
      (a)       broker-dealer, municipal securities dealer, or government securities broker or dealer
      (b)       other investment adviser (including financial planners)
      (c)       registered municipal advisor
      (d)        registered security-based swap dealer
      (e)       major security-based swap participant
      (f)       commodity pool operator or commodity trading advisor (whether registered or exempt from registration)
      (g)       futures commission merchant
      (h)       banking or thrift institution
      (i)       trust company
      (j)       accountant or accounting firm
      (k)       lawyer or law firm
      (l)       insurance company or agency
      (m)        pension consultant
      (n)        real estate broker or dealer
      (o)       sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles
      (p)       sponsor, general partner, managing member (or equivalent) of pooled investment vehicles
                                                                                                                                                                  Yes No
6.    Do you control or are you controlled by the related person?


7.    Are you and the related person under common control?


8.    (a)   Does the related person act as a qualified custodian for your clients in connection with advisory services you provide to clients?
      (b)   If you are registering or registered with the SEC and you have answered "yes," to question 8.(a) above, have you overcome the
            presumption that you are not operationally independent (pursuant to rule 206(4)-2(d)(5)) from the related person and thus are not required
            to obtain a surprise examination for your clients' funds or securities that are maintained at the related person?
      (c)   If you have answered "yes" to question 8.(a) above, provide the location of the related person's office responsible for custody of your clients' assets:
            Number and Street 1:                                                 Number and Street 2:
            City:                         State:                                 Country:                       ZIP+4/Postal Code:
            If this address is a private residence, check this box:
                                                                                                                                                                  Yes No
9.    (a)   If the related person is an investment adviser, is it exempt from registration?

      (b)   If the answer is yes, under what exemption?


10. (a)     Is the related person registered with a foreign financial regulatory authority ?
      (b)   If the answer is yes, list the name and country, in English of each foreign financial regulatory authority with which the related person is registered.
                                                                              No Information Filed
11. Do you and the related person share any supervised persons?


12. Do you and the related person share the same physical location?



Item 7 Private Fund Reporting

                                                                                                                                                                   Yes No

B. Are you an adviser to any private fund?


     If "yes," then for each private fund that you advise, you must complete a Section 7.B.(1) of Schedule D, except in certain circumstances described in the next
     sentence and in Instruction 6 of the Instructions to Part 1A. If you are registered or applying for registration with the SEC or reporting as an SEC exempt
     reporting adviser, and another SEC-registered adviser or SEC exempt reporting adviser reports this information with respect to any such private fund in Section
     7.B.(1) of Schedule D of its Form ADV (e.g., if you are a subadviser), do not complete Section 7.B.(1) of Schedule D with respect to that private fund. You must,
     instead, complete Section 7.B.(2) of Schedule D.

     In either case, if you seek to preserve the anonymity of a private fund client by maintaining its identity in your books and records in numerical or alphabetical
     code, or similar designation, pursuant to rule 204-2(d), you may identify the private fund in Section 7.B.(1) or 7.B.(2) of Schedule D using the same code or
     designation in place of the fund's name.




SECTION 7.B.(1) Private Fund Reporting


                                                                      Funds per Page: 15       Total Funds: 2



 A. PRIVATE FUND


 Information About the Private Fund
1.   (a) Name of the private fund:
         ENKO AFRICA DEBT FUND
     (b) Private fund identification number:
         (include the "805-" prefix also)
         805-4616060231




2.   Under the laws of what state or country is the private fund organized:
         State:                                                         Country:
                                                                        Mauritius


3.   (a) Name(s) of General Partner, Manager, Trustee, or Directors (or persons serving in a similar capacity):
     Name of General Partner, Manager, Trustee, or Director
     ALAIN NKONTCHOU
     ARUNA LATA VIDIA RADHAKEESOON
     CHRISTOPH AVENARIUS
     JAYRAO DHONDEE
     SOUKEYNA KANE



     (b) If filing an umbrella registration, identify the filing adviser and/or relying adviser(s) that sponsor(s) or manage(s) this private fund.
                                                                         No Information Filed



4.   The private fund (check all that apply; you must check at least one):
         (1) qualifies for the exclusion from the definition of investment company under section 3(c)(1) of the Investment Company Act of 1940
         (2) qualifies for the exclusion from the definition of investment company under section 3(c)(7) of the Investment Company Act of 1940


5.   List the name and country, in English, of each foreign financial regulatory authority with which the private fund is registered.
     Name of Country/English Name of Foreign Financial Regulatory Authority
     Mauritius, Republic of - Financial Services Commission
     United Kingdom - Financial Conduct Authority

                                                                                                                                                      Yes No
6.   (a) Is this a "master fund" in a master-feeder arrangement?

     (b) If yes, what is the name and private fund identification number (if any) of the feeder funds investing in this private fund?
                                                                         No Information Filed


                                                                                                                                                      Yes No
     (c) Is this a "feeder fund" in a master-feeder arrangement?

     (d) If yes, what is the name and private fund identification number (if any) of the master fund in which this private fund invests?
         Name of private fund:


         Private fund identification number:
         (include the "805-" prefix also)




     NOTE: You must complete question 6 for each master-feeder arrangement regardless of whether you are filing a single Schedule D, Section 7.B.(1)
     for the master-feeder arrangement or reporting on the funds separately.


7.   If you are filing a single Schedule D, Section 7.B.(1) for a master-feeder arrangement according to the instructions to this Section 7.B.(1), for each of
     the feeder funds answer the following questions:



                                                                         No Information Filed




     NOTE: For purposes of questions 6 and 7, in a master-feeder arrangement, one or more funds ("feeder funds") invest all or substantially all of their
     assets in a single fund ("master fund"). A fund would also be a "feeder fund" investing in a "master fund" for purposes of this question if it issued
     multiple classes (or series) of shares or interests, and each class (or series) invests substantially all of its assets in a single master fund.
                                                                                                                                                      Yes No
8.   (a) Is this private fund a "fund of funds"?

     NOTE: For purposes of this question only, answer "yes" if the fund invests 10 percent or more of its total assets in other pooled investment
     vehicles, regardless of whether they are also private funds or registered investment companies.
     (b) If yes, does the private fund invest in funds managed by you or by a related person?



                                                                                                                                                      Yes No
9.   During your last fiscal year, did the private fund invest in securities issued by investment companies registered under the Investment
     Company Act of 1940 (other than "money market funds," to the extent provided in Instruction 6.e.)?


10. What type of fund is the private fund?

          hedge fund    liquidity fund    private equity fund     real estate fund     securitized asset fund      venture capital fund   Other private fund:


     NOTE: For definitions of these fund types, please see Instruction 6 of the Instructions to Part 1A.


11. Current gross asset value of the private fund:
     $ 1,023,125,505


Ownership


12. Minimum investment commitment required of an investor in the private fund:
     $ 250,000
     NOTE: Report the amount routinely required of investors who are not your related persons (even if different from the amount set forth in the
     organizational documents of the fund).


13. Approximate number of the private fund's beneficial owners:
     60


14. What is the approximate percentage of the private fund beneficially owned by you and your related persons:
     1%


15. (a) What is the approximate percentage of the private fund beneficially owned (in the aggregate) by funds of funds:
     5%
                                                                                                                                                      Yes No
     (b) If the private fund qualifies for the exclusion from the definition of investment company under section 3(c)(1) of the Investment
         Company Act of 1940, are sales of the fund limited to qualified clients?


16. What is the approximate percentage of the private fund beneficially owned by non-United States persons:
     78%


Your Advisory Services
                                                                                                                                                      Yes No
17. (a) Are you a subadviser to this private fund?

     (b) If the answer to question 17.(a) is "yes," provide the name and SEC file number, if any, of the adviser of the private fund. If the answer to
         question 17.(a) is "no," leave this question blank.
                                                                          No Information Filed

                                                                                                                                                      Yes No
18. (a) Do any investment advisers (other than the investment advisers listed in Section 7.B.(1).A.3.(b)) advise the private fund?

     (b) If the answer to question 18.(a) is "yes," provide the name and SEC file number, if any, of the other advisers to the private fund. If the answer
         to question 18.(a) is "no," leave this question blank.
           Name of Other Adviser to private fund                                                 SEC file number                   CRD number
           ENKO CAPITAL MANAGEMENT                                                               802-119359                         309541

                                                                                                                                                      Yes No
19. Are your clients solicited to invest in the private fund?

     NOTE: For purposes of this question, do not consider feeder funds of the private fund.


20. Approximately what percentage of your clients has invested in the private fund?
     0%


Private Offering
                                                                                                                                                      Yes No
21. Has the private fund ever relied on an exemption from registration of its securities under Regulation D of the Securities Act of 1933?
22. If yes, provide the private fund's Form D file number (if any):
     Form D file number
     021-51758



B. SERVICE PROVIDERS


Auditors
                                                                                                                                                    Yes No
23. (a) (1) Are the private fund's financial statements subject to an annual audit?

        (2) If the answer to question 23.(a)(1) is "yes," are the financial statements prepared in accordance with U.S. GAAP?

        If the answer to question 23.(a)(1) is "yes," respond to questions (b) through (h) below. If the private fund uses more than one auditing firm,
        you must complete questions (b) through (f) separately for each auditing firm.

           Additional Auditor Information : 1 Record(s) Filed.

            If the answer to question 23.(a)(1) is "yes," respond to questions (b) through (h) below. If the private fund uses more than one auditing
            firm, you must complete questions (b) through (f) separately for each auditing firm.


            (b) Name of the auditing firm:
                  GRANT THORNTON


            (c) The location of the auditing firm's office responsible for the private fund's audit (city, state and country):
                  City:                                  State:                                  Country:
                  EBENE                                                                          Mauritius
                                                                                                                                                  Yes No
            (d) Is the auditing firm an independent public accountant?


            (e) Is the auditing firm registered with the Public Company Accounting Oversight Board?


                  If yes, Public Company Accounting Oversight Board-Assigned Number:




            (f)   If "yes" to (e) above, is the auditing firm subject to regular inspection by the Public Company Accounting Oversight Board in
                  accordance with its rules?



                                                                                                                                                    Yes No
    (g) Are the private fund's audited financial statements for the most recently completed fiscal year distributed to the private fund's
        investors?

    (h) Do all of the reports prepared by the auditing firm for the private fund since your last annual updating amendment contain unqualified opinions?

             Yes      No     Report Not Yet Received

        If you check "Report Not Yet Received," you must promptly file an amendment to your Form ADV to update your response when the report is available.


Prime Broker
                                                                                                                                                    Yes No
24. (a) Does the private fund use one or more prime brokers?

        If the answer to question 24.(a) is "yes," respond to questions (b) through (e) below for each prime broker the private fund uses. If the private
        fund uses more than one prime broker, you must complete questions (b) through (e) separately for each prime broker.

           Additional Prime Broker Information : 1 Record(s) Filed.



            If the answer to question 24.(a) is "yes," respond to questions (b) through (e) below for each prime broker the private fund uses. If the
            private fund uses more than one prime broker, you must complete questions (b) through (e) separately for each prime broker.


            (b) Name of the prime broker:
                STANDARD CHARTERED BANK PLC


            (c) If the prime broker is registered with the SEC, its registration number:
                  8 - 1754878
                  CRD Number (if any):
            (d) Location of prime broker's office used principally by the private fund (city, state and country):
                  City:                                State:                       Country:
                  LONDON                                                            United Kingdom
                                                                                                                                                   Yes No
            (e) Does this prime broker act as custodian for some or all of the private fund's assets?




Custodian
                                                                                                                                                        Yes No
25. (a) Does the private fund use any custodians (including the prime brokers listed above) to hold some or all of its assets?

        If the answer to question 25.(a) is "yes," respond to questions (b) through (g) below for each custodian the private fund uses. If the private fund
        uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.

         Additional Custodian Information : 19 Record(s) Filed.



            If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
            fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


            (b) Legal name of custodian:
                ACCESS BANK PLC


            (c) Primary business name of custodian:
                ACCESS BANK PLC


            (d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
                  City:                                   State:                                 Country:
                  LAGOS                                                                          Nigeria
                                                                                                                                                   Yes No
            (e) Is the custodian a related person of your firm?


            (f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
                  -
                  CRD Number (if any):




            (g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
                identifier (if any)
                  029200328C3N9YI2D660




            If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
            fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


            (b) Legal name of custodian:
                FIRST NATIONAL BANK GHANA LIMITED


            (c) Primary business name of custodian:
                FIRST NATIONAL BANK GHANA LIMITED


            (d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
                  City:                                   State:                                 Country:
                  ACCRA                                                                          Ghana
                                                                                                                                                   Yes No
            (e) Is the custodian a related person of your firm?


            (f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
                  -
                  CRD Number (if any):




            (g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
      identifier (if any)
      2138001OCJ42T73BY742




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    J.P. MORGAN CHASE BANK N.A.


(c) Primary business name of custodian:
    J.P. MORGAN CHASE BANK N.A.


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                                        State:                  Country:
      SENNINGERBERG                                                                        Luxembourg
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      54930005CPKIO8CAMX61




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC BANK BOTSWANA LIMITED


(c) Primary business name of custodian:
    STANBIC BANK BOTSWANA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                                  State:                        Country:
      GABRORONE                                                                            Botswana
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      254900CFACP5V9H8W758




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC BANK GHANA LIMITED


(c) Primary business name of custodian:
      STANBIC BANK GHANA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                   State:                                 Country:
      ACCRA                                                                          Ghana
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300M3N5M3E5WDG321




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC BANK KENYA LIMITED


(c) Primary business name of custodian:
    STANBIC BANK KENYA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                         State:                                 Country:
      NAIROBI                                                                              Kenya
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300BEL47N4GGJM871




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC BANK NAMIBIA LIMITED


(c) Primary business name of custodian:
    STANBIC BANK NAMIBIA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                                  State:                           Country:
      WINDJOEK                                                                                Namibia
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):
(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC BANK SA


(c) Primary business name of custodian:
    STANBIC BANK SA


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                     State:                Country:
      ABIDJAN                                         Cote de Ivoire (Ivory Coast)
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      254900JQHLYVAALH3154




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC BANK UGANDA LIMITED


(c) Primary business name of custodian:
    STANBIC BANK UGANDA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                            State:                              Country:
      KAMPALA                                                                              Uganda
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300CU2GA4XCIHLV64




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC BANK ZAMBIA LIMITED
(c) Primary business name of custodian:
    STANBIC BANK ZAMBIA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                         State:                             Country:
      LUSAKA                                                                           Zambia
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300HF45VBQ8L4HF36




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC ITBC BANK LTD


(c) Primary business name of custodian:
    STANBIC ITBC BANK LTD


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                   State:                                 Country:
      LAGOS                                                                          Nigeria
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300NIVXF92ZIOVW61




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANDARD CHARTERED BANK


(c) Primary business name of custodian:
    STANDARD CHARTERED BANK


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                State:                       Country:
      LONDON                                                            United Kingdom
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      RILFO74KP1CM8P6PCT96




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANDARD CHARTERED BANK (MAURITIUS) LIMITED


(c) Primary business name of custodian:
    STANDARD CHARTERED BANK


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                                    State:                        Country:
      PORT-LOUIS                                                                             Mauritius
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300R0Q58QYRNZLS10




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANDARD CHARTERED BANK COTE D'IVOIRE S.A.


(c) Primary business name of custodian:
    STANDARD CHARTERED BANK COTE D'IVOIRE S.A.


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                     State:                Country:
      ABIDJAN                                         Cote de Ivoire (Ivory Coast)
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      54930016MQBB2NO5NB47




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.
(b) Legal name of custodian:
    STANDARD CHARTERED BANK GHANA PLC


(c) Primary business name of custodian:
    STANDARD CHARTERED BANK GHANA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                   State:                                 Country:
      ACCRA                                                                          Ghana
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300WFGKTC3MGDCX95




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANDARD CHARTERED BANK KENYA LIMITED


(c) Primary business name of custodian:
    STANDARD CHARTERED BANK KENYA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                         State:                                 Country:
      NAIROBI                                                                              Kenya
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300RBHWW5EJIRG629




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANDARD CHARTERED BANK NIGERIA LIMITED


(c) Primary business name of custodian:
    STANDARD CHARTERED BANK NIGERIA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                   State:                                 Country:
      LAGOS                                                                          Nigeria
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?
         (f)    If the custodian is a broker-dealer, provide its SEC registration number (if any):
                -
                CRD Number (if any):




         (g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
             identifier (if any)
                549300P08UORMR8IFS20




         If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
         fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


         (b) Legal name of custodian:
             STANDARD CHARTERED BANK UGANDA LIMITED


         (c) Primary business name of custodian:
             STANDARD CHARTERED BANK UGANDA LIMITED


         (d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
                City:                                            State:                              Country:
                KAMPALA                                                                              Uganda
                                                                                                                                                Yes No
         (e) Is the custodian a related person of your firm?


         (f)    If the custodian is a broker-dealer, provide its SEC registration number (if any):
                -
                CRD Number (if any):




         (g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
             identifier (if any)
                549300W7CNYGJ68XGD27




         If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
         fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


         (b) Legal name of custodian:
             STANDARD CHARTERED BANK, JOHANNESBURG BRANCH


         (c) Primary business name of custodian:
             STANDARD CHARTERED BANK, JOHANNESBURG BRANCH


         (d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
                City:                                                       State:                    Country:
                JOHANNESBURG                                                                          South Africa
                                                                                                                                                Yes No
         (e) Is the custodian a related person of your firm?


         (f)    If the custodian is a broker-dealer, provide its SEC registration number (if any):
                -
                CRD Number (if any):




         (g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
             identifier (if any)
                RILFO74KP1CM8P6PCT96




Administrator
                                                                                                                                                     Yes No
26. (a) Does the private fund use an administrator other than your firm?

        If the answer to question 26.(a) is "yes," respond to questions (b) through (f) below. If the private fund uses more than one administrator, you
        must complete questions (b) through (f) separately for each administrator.

          Additional Administrator Information : 1 Record(s) Filed.



           If the answer to question 26.(a) is "yes," respond to questions (b) through (f) below. If the private fund uses more than one
           administrator, you must complete questions (b) through (f) separately for each administrator.


           (b) Name of administrator:
                 IQ EQ FUND SERVICES (MAURITIUS) LTD


           (c) Location of administrator (city, state and country):
                 City:                                                   State:                         Country:
                 PORT-LOUIS                                                                             Mauritius
                                                                                                                                               Yes No
           (d) Is the administrator a related person of your firm?


           (e) Does the administrator prepare and send investor account statements to the private fund's investors?
                     Yes (provided to all investors)   Some (provided to some but not all investors)    No (provided to no investors)



           (f)   If the answer to question 26.(e) is "no" or "some," who sends the investor account statements to the (rest of the) private fund's
                 investors? If investor account statements are not sent to the (rest of the) private fund's investors, respond "not applicable."




27. During your last fiscal year, what percentage of the private fund's assets (by value) was valued by a person, such as an administrator, that is not
    your related person?
    90%
    Include only those assets where (i) such person carried out the valuation procedure established for that asset, if any, including obtaining any
    relevant quotes, and (ii) the valuation used for purposes of investor subscriptions, redemptions or distributions, and fee calculations (including
    allocations) was the valuation determined by such person.


Marketers
                                                                                                                                                     Yes No
28. (a) Does the private fund use the services of someone other than you or your employees for marketing purposes?

        You must answer "yes" whether the person acts as a placement agent, consultant, finder, introducer, municipal advisor or other solicitor, or
        similar person. If the answer to question 28.(a) is "yes," respond to questions (b) through (g) below for each such marketer the private fund
        uses. If the private fund uses more than one marketer you must complete questions (b) through (g) separately for each marketer.

          Additional Marketer Information : 1 Record(s) Filed.



           You must answer "yes" whether the person acts as a placement agent, consultant, finder, introducer, municipal advisor or other solicitor,
           or similar person. If the answer to question 28.(a) is "yes," respond to questions (b) through (g) below for each such marketer the private
           fund uses. If the private fund uses more than one marketer, you must complete questions (b) through (g) separately for each marketer.


                                                                                                                                               Yes No
           (b) Is the marketer a related person of your firm?


           (c) Name of the marketer:
               ENKO CAPITAL MANAGEMENT


           (d) If the marketer is registered with the SEC, its file number (e.g., 801-, 8-, or 866-):
                 -
                 and CRD Number (if any):
                 309541


           (e) Location of the marketer's office used principally by the private fund (city, state and country):
                 City:                                 State:                     Country:
                 LONDON                                                           United Kingdom
                                                                                                                                               Yes No
           (f)   Does the marketer market the private fund through one or more websites?
           (g) If the answer to question 28.(f) is "yes," list the website address(es):
                                                                             No Information Filed




A. PRIVATE FUND


Information About the Private Fund


1.   (a) Name of the private fund:
         ENKO OPPORTUNITY GROWTH PCC
     (b) Private fund identification number:
         (include the "805-" prefix also)
         805-8771271357




2.   Under the laws of what state or country is the private fund organized:
         State:                                                         Country:
                                                                        Mauritius


3.   (a) Name(s) of General Partner, Manager, Trustee, or Directors (or persons serving in a similar capacity):
     Name of General Partner, Manager, Trustee, or Director
     MR. ALAIN FRANCIS NKONTCHOU-KOUOKAM
     MR. CHRISTOPH HEINRICH AVENARIUS HERBORN
     MR. CYRILLE FLORIANT NKONTCHOU KAMDEM
     MR. PRADEEP MALIK
     THIRUMAGEN VAITLINGON



     (b) If filing an umbrella registration, identify the filing adviser and/or relying adviser(s) that sponsor(s) or manage(s) this private fund.
                                                                         No Information Filed



4.   The private fund (check all that apply; you must check at least one):
         (1) qualifies for the exclusion from the definition of investment company under section 3(c)(1) of the Investment Company Act of 1940
         (2) qualifies for the exclusion from the definition of investment company under section 3(c)(7) of the Investment Company Act of 1940


5.   List the name and country, in English, of each foreign financial regulatory authority with which the private fund is registered.
     Name of Country/English Name of Foreign Financial Regulatory Authority
     Mauritius, Republic of - Financial Services Commission

                                                                                                                                                      Yes No
6.   (a) Is this a "master fund" in a master-feeder arrangement?

     (b) If yes, what is the name and private fund identification number (if any) of the feeder funds investing in this private fund?
                                                                         No Information Filed


                                                                                                                                                      Yes No
     (c) Is this a "feeder fund" in a master-feeder arrangement?

     (d) If yes, what is the name and private fund identification number (if any) of the master fund in which this private fund invests?
         Name of private fund:


         Private fund identification number:
         (include the "805-" prefix also)




     NOTE: You must complete question 6 for each master-feeder arrangement regardless of whether you are filing a single Schedule D, Section 7.B.(1)
     for the master-feeder arrangement or reporting on the funds separately.


7.   If you are filing a single Schedule D, Section 7.B.(1) for a master-feeder arrangement according to the instructions to this Section 7.B.(1), for each of
     the feeder funds answer the following questions:



                                                                         No Information Filed
     NOTE: For purposes of questions 6 and 7, in a master-feeder arrangement, one or more funds ("feeder funds") invest all or substantially all of their
     assets in a single fund ("master fund"). A fund would also be a "feeder fund" investing in a "master fund" for purposes of this question if it issued
     multiple classes (or series) of shares or interests, and each class (or series) invests substantially all of its assets in a single master fund.
                                                                                                                                                    Yes No
8.   (a) Is this private fund a "fund of funds"?

     NOTE: For purposes of this question only, answer "yes" if the fund invests 10 percent or more of its total assets in other pooled investment
     vehicles, regardless of whether they are also private funds or registered investment companies.
     (b) If yes, does the private fund invest in funds managed by you or by a related person?



                                                                                                                                                    Yes No
9.   During your last fiscal year, did the private fund invest in securities issued by investment companies registered under the Investment
     Company Act of 1940 (other than "money market funds," to the extent provided in Instruction 6.e.)?


10. What type of fund is the private fund?

        hedge fund   liquidity fund private equity fund real estate fund securitized asset fund venture capital fund Other private fund:
     PRIVATE CELL COMPANY. ONE CELL CONTAINS LISTED INSTRUMENTS (DEBT AND EQUITY); THE OTHER CELL WILL HOLD A PE INVESTMENT.


     NOTE: For definitions of these fund types, please see Instruction 6 of the Instructions to Part 1A.


11. Current gross asset value of the private fund:
     $ 35,721,534


Ownership


12. Minimum investment commitment required of an investor in the private fund:
     $ 100,000
     NOTE: Report the amount routinely required of investors who are not your related persons (even if different from the amount set forth in the
     organizational documents of the fund).


13. Approximate number of the private fund's beneficial owners:
     9


14. What is the approximate percentage of the private fund beneficially owned by you and your related persons:
     85%


15. (a) What is the approximate percentage of the private fund beneficially owned (in the aggregate) by funds of funds:
     0%
                                                                                                                                                    Yes No
     (b) If the private fund qualifies for the exclusion from the definition of investment company under section 3(c)(1) of the Investment
         Company Act of 1940, are sales of the fund limited to qualified clients?


16. What is the approximate percentage of the private fund beneficially owned by non-United States persons:
     100%


Your Advisory Services
                                                                                                                                                    Yes No
17. (a) Are you a subadviser to this private fund?

     (b) If the answer to question 17.(a) is "yes," provide the name and SEC file number, if any, of the adviser of the private fund. If the answer to
         question 17.(a) is "no," leave this question blank.
                                                                        No Information Filed

                                                                                                                                                    Yes No
18. (a) Do any investment advisers (other than the investment advisers listed in Section 7.B.(1).A.3.(b)) advise the private fund?

     (b) If the answer to question 18.(a) is "yes," provide the name and SEC file number, if any, of the other advisers to the private fund. If the answer
         to question 18.(a) is "no," leave this question blank.
           Name of Other Adviser to private fund                                               SEC file number                  CRD number
           ENKO CAPITAL MANAGEMENT                                                             802-119359                       309541
           ENKO CAPITAL RWANDA LIMITED

                                                                                                                                                    Yes No
19. Are your clients solicited to invest in the private fund?
    NOTE: For purposes of this question, do not consider feeder funds of the private fund.


20. Approximately what percentage of your clients has invested in the private fund?
    0%


Private Offering
                                                                                                                                                   Yes No
21. Has the private fund ever relied on an exemption from registration of its securities under Regulation D of the Securities Act of 1933?


22. If yes, provide the private fund's Form D file number (if any):
                                                                         No Information Filed



B. SERVICE PROVIDERS


Auditors
                                                                                                                                                   Yes No
23. (a) (1) Are the private fund's financial statements subject to an annual audit?

         (2) If the answer to question 23.(a)(1) is "yes," are the financial statements prepared in accordance with U.S. GAAP?

         If the answer to question 23.(a)(1) is "yes," respond to questions (b) through (h) below. If the private fund uses more than one auditing firm,
         you must complete questions (b) through (f) separately for each auditing firm.

           Additional Auditor Information : 1 Record(s) Filed.

            If the answer to question 23.(a)(1) is "yes," respond to questions (b) through (h) below. If the private fund uses more than one auditing
            firm, you must complete questions (b) through (f) separately for each auditing firm.


            (b) Name of the auditing firm:
                  GRANT THORNTON


            (c) The location of the auditing firm's office responsible for the private fund's audit (city, state and country):
                  City:                                  State:                                   Country:
                  EBENE                                                                           Mauritius
                                                                                                                                                  Yes No
            (d) Is the auditing firm an independent public accountant?


            (e) Is the auditing firm registered with the Public Company Accounting Oversight Board?


                  If yes, Public Company Accounting Oversight Board-Assigned Number:




            (f)   If "yes" to (e) above, is the auditing firm subject to regular inspection by the Public Company Accounting Oversight Board in
                  accordance with its rules?



                                                                                                                                                   Yes No
    (g) Are the private fund's audited financial statements for the most recently completed fiscal year distributed to the private fund's
        investors?

    (h) Do all of the reports prepared by the auditing firm for the private fund since your last annual updating amendment contain unqualified opinions?

             Yes      No     Report Not Yet Received

         If you check "Report Not Yet Received," you must promptly file an amendment to your Form ADV to update your response when the report is available.


Prime Broker
                                                                                                                                                   Yes No
24. (a) Does the private fund use one or more prime brokers?

         If the answer to question 24.(a) is "yes," respond to questions (b) through (e) below for each prime broker the private fund uses. If the private
         fund uses more than one prime broker, you must complete questions (b) through (e) separately for each prime broker.



                                                                           No Information Filed
Custodian
                                                                                                                                                        Yes No
25. (a) Does the private fund use any custodians (including the prime brokers listed above) to hold some or all of its assets?

        If the answer to question 25.(a) is "yes," respond to questions (b) through (g) below for each custodian the private fund uses. If the private fund
        uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.

         Additional Custodian Information : 8 Record(s) Filed.



            If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
            fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


            (b) Legal name of custodian:
                ACCESS BANK CAMEROON PLC


            (c) Primary business name of custodian:
                ACCESS BANK CAMEROON PLC


            (d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
                  City:                                           State:                          Country:
                  YAOUNDE                                                                         Cameroon
                                                                                                                                                   Yes No
            (e) Is the custodian a related person of your firm?


            (f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
                  -
                  CRD Number (if any):




            (g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
                identifier (if any)
                  2549004MEK1WJ9QK3L74




            If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
            fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


            (b) Legal name of custodian:
                AFG BANK CAMEROON SA


            (c) Primary business name of custodian:
                AFG BANK CAMEROON SA


            (d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
                  City:                                                       State:                     Country:
                  AKWA-DOUALA                                                                            Cameroon
                                                                                                                                                   Yes No
            (e) Is the custodian a related person of your firm?


            (f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
                  -
                  CRD Number (if any):




            (g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
                identifier (if any)




            If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
            fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


            (b) Legal name of custodian:
      EDC SECURITIES LIMITED


(c) Primary business name of custodian:
    EDC SECURITIES LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                   State:                                  Country:
      LAGOS                                                                           Nigeria
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      0292001058D6S6ZFI330




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    FIRST NATIONAL BANK GHANA LIMITED


(c) Primary business name of custodian:
    FIRST NATIONAL BANK GHANA LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                   State:                                  Country:
      ACCRA                                                                           Ghana
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      2138001OCJ42T73BY742




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC BANK S.A.


(c) Primary business name of custodian:
    STANBIC BANK S.A.


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                     State:                 Country:
      ABIDJAN                                          Cote de Ivoire (Ivory Coast)
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?
(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      254900JQHLYVAALH3154




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANBIC IBTC BANK LIMITED


(c) Primary business name of custodian:
    STANBIC IBTC BANK LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                   State:                                 Country:
      LAGOS                                                                          Nigeria
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300NIVXF92ZIOVW61




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


(b) Legal name of custodian:
    STANDARD CHARTERED BANK (MAURITIUS) LIMITED


(c) Primary business name of custodian:
    STANDARD CHARTERED BANK (MAURITIUS) LIMITED


(d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
      City:                                                State:                          Country:
      CYBERCITY                                                                            Mauritius
                                                                                                                                       Yes No
(e) Is the custodian a related person of your firm?


(f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
      -
      CRD Number (if any):




(g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
    identifier (if any)
      549300R0Q58QYRNZLS10




If the answer to question 25.(a) is "yes," respond to questions (b) through g) below for each custodian the private fund uses. If the private
           fund uses more than one custodian, you must complete questions (b) through (g) separately for each custodian.


           (b) Legal name of custodian:
               STANDARD CHARTERED BANK COTE D'IVOIRE SA


           (c) Primary business name of custodian:
               STANDARD CHARTERED BANK COTE D'IVOIRE SA


           (d) The location of the custodian's office responsible for custody of the private fund's assets (city, state and country):
                 City:                       State:              Country:
                 ABIDJAN                                         Cote de Ivoire (Ivory Coast)
                                                                                                                                                  Yes No
           (e) Is the custodian a related person of your firm?


           (f)   If the custodian is a broker-dealer, provide its SEC registration number (if any):
                 -
                 CRD Number (if any):




           (g) If the custodian is not a broker-dealer, or is a broker-dealer but does not have an SEC registration number, provide its legal entity
               identifier (if any)
                 54930016MQBB2NO5NB47




Administrator
                                                                                                                                                       Yes No
26. (a) Does the private fund use an administrator other than your firm?

        If the answer to question 26.(a) is "yes," respond to questions (b) through (f) below. If the private fund uses more than one administrator, you
        must complete questions (b) through (f) separately for each administrator.

         Additional Administrator Information : 1 Record(s) Filed.



           If the answer to question 26.(a) is "yes," respond to questions (b) through (f) below. If the private fund uses more than one
           administrator, you must complete questions (b) through (f) separately for each administrator.


           (b) Name of administrator:
                 IQ EQ FUND SERVICES (MAURITIUS) LTD


           (c) Location of administrator (city, state and country):
                 City:                                                  State:                         Country:
                 PORT LOUIS                                                                            Mauritius
                                                                                                                                                Yes No
           (d) Is the administrator a related person of your firm?


           (e) Does the administrator prepare and send investor account statements to the private fund's investors?
                     Yes (provided to all investors)   Some (provided to some but not all investors)    No (provided to no investors)



           (f)   If the answer to question 26.(e) is "no" or "some," who sends the investor account statements to the (rest of the) private fund's
                 investors? If investor account statements are not sent to the (rest of the) private fund's investors, respond "not applicable."




27. During your last fiscal year, what percentage of the private fund's assets (by value) was valued by a person, such as an administrator, that is not
    your related person?
    100%
    Include only those assets where (i) such person carried out the valuation procedure established for that asset, if any, including obtaining any
    relevant quotes, and (ii) the valuation used for purposes of investor subscriptions, redemptions or distributions, and fee calculations (including
    allocations) was the valuation determined by such person.


Marketers
                                                                                                                                                       Yes No
28. (a) Does the private fund use the services of someone other than you or your employees for marketing purposes?
           You must answer "yes" whether the person acts as a placement agent, consultant, finder, introducer, municipal advisor or other solicitor, or
           similar person. If the answer to question 28.(a) is "yes," respond to questions (b) through (g) below for each such marketer the private fund
           uses. If the private fund uses more than one marketer you must complete questions (b) through (g) separately for each marketer.



                                                                              No Information Filed




                                                                   Funds per Page: 15     Total Funds: 2




SECTION 7.B.(2) Private Fund Reporting


                                                                         No Information Filed




Item 10 Control Persons

In this Item, we ask you to identify every person that, directly or indirectly, controls you. If you are filing an umbrella registration, the information in Item 10
should be provided for the filing adviser only.

If you are submitting an initial application or report, you must complete Schedule A and Schedule B. Schedule A asks for information about your direct owners
and executive officers. Schedule B asks for information about your indirect owners. If this is an amendment and you are updating information you reported
on either Schedule A or Schedule B (or both) that you filed with your initial application or report, you must complete Schedule C.
                                                                                                                                                               Yes No
A.   Does any person not named in Item 1.A. or Schedules A, B, or C, directly or indirectly, control your management or policies?


     If yes, complete Section 10.A. of Schedule D.


B.   If any person named in Schedules A, B, or C or in Section 10.A. of Schedule D is a public reporting company under Sections 12 or 15(d) of the Securities
     Exchange Act of 1934, please complete Section 10.B. of Schedule D.




SECTION 10.A. Control Persons


                                                                         No Information Filed



SECTION 10.B. Control Person Public Reporting Companies


                                                                         No Information Filed




Item 11 Disclosure Information

In this Item, we ask for information about your disciplinary history and the disciplinary history of all your advisory affiliates. We use this information to
determine whether to grant your application for registration, to decide whether to revoke your registration or to place limitations on your activities as an
investment adviser, and to identify potential problem areas to focus on during our on-site examinations. One event may result in "yes" answers to more than
one of the questions below. In accordance with General Instruction 5 to Form ADV, "you" and "your" include the filing adviser and all relying advisers under an
umbrella registration.

Your advisory affiliates are: (1) all of your current employees (other than employees performing only clerical, administrative, support or similar functions); (2) all
of your officers, partners, or directors (or any person performing similar functions); and (3) all persons directly or indirectly controlling you or controlled by you.
If you are a "separately identifiable department or division" (SID) of a bank, see the Glossary of Terms to determine who your advisory affiliates are.

If you are registered or registering with the SEC or if you are an exempt reporting adviser, you may limit your disclosure of any event listed in Item 11 to ten years
following the date of the event. If you are registered or registering with a state, you must respond to the questions as posed; you may, therefore, limit your
disclosure to ten years following the date of an event only in responding to Items 11.A.(1), 11.A.(2), 11.B.(1), 11.B.(2), 11.D.(4), and 11.H.(1)(a). For purposes of
calculating this ten-year period, the date of an event is the date the final order, judgment, or decree was entered, or the date any rights of appeal from preliminary
orders, judgments, or decrees lapsed.

You must complete the appropriate Disclosure Reporting Page ("DRP") for "yes" answers to the questions in this Item 11.

                                                                                                                                                               Yes No
Do any of the events below involve you or any of your supervised persons?

For "yes" answers to the following questions, complete a Criminal Action DRP:
A.   In the past ten years, have you or any advisory affiliate:                                                                                                Yes No
     (1) been convicted of or pled guilty or nolo contendere ("no contest") in a domestic, foreign, or military court to any felony?
     (2) been charged with any felony?


     If you are registered or registering with the SEC, or if you are reporting as an exempt reporting adviser, you may limit your response to Item 11.A.(2) to
     charges that are currently pending.


B.   In the past ten years, have you or any advisory affiliate:
     (1) been convicted of or pled guilty or nolo contendere ("no contest") in a domestic, foreign, or military court to a misdemeanor involving:
         investments or an investment-related business, or any fraud, false statements, or omissions, wrongful taking of property, bribery, perjury,
         forgery, counterfeiting, extortion, or a conspiracy to commit any of these offenses?
     (2) been charged with a misdemeanor listed in Item 11.B.(1)?


     If you are registered or registering with the SEC, or if you are reporting as an exempt reporting adviser, you may limit your response to Item 11.B.(2) to
     charges that are currently pending.


For "yes" answers to the following questions, complete a Regulatory Action DRP:
C.   Has the SEC or the Commodity Futures Trading Commission (CFTC) ever:                                                                                     Yes No
     (1) found you or any advisory affiliate to have made a false statement or omission?

     (2) found you or any advisory affiliate to have been involved in a violation of SEC or CFTC regulations or statutes?

     (3) found you or any advisory affiliate to have been a cause of an investment-related business having its authorization to do business denied,
         suspended, revoked, or restricted?
     (4) entered an order against you or any advisory affiliate in connection with investment-related activity?

     (5) imposed a civil money penalty on you or any advisory affiliate, or ordered you or any advisory affiliate to cease and desist from any activity?


D.   Has any other federal regulatory agency, any state regulatory agency, or any foreign financial regulatory authority:
     (1) ever found you or any advisory affiliate to have made a false statement or omission, or been dishonest, unfair, or unethical?

     (2) ever found you or any advisory affiliate to have been involved in a violation of investment-related regulations or statutes?

     (3) ever found you or any advisory affiliate to have been a cause of an investment-related business having its authorization to do business
         denied, suspended, revoked, or restricted?
     (4) in the past ten years, entered an order against you or any advisory affiliate in connection with an investment-related activity?

     (5) ever denied, suspended, or revoked your or any advisory affiliate's registration or license, or otherwise prevented you or any advisory
         affiliate, by order, from associating with an investment-related business or restricted your or any advisory affiliate's activity?


E.   Has any self-regulatory organization or commodities exchange ever:
     (1) found you or any advisory affiliate to have made a false statement or omission?

     (2) found you or any advisory affiliate to have been involved in a violation of its rules (other than a violation designated as a "minor rule
         violation" under a plan approved by the SEC)?
     (3) found you or any advisory affiliate to have been the cause of an investment-related business having its authorization to do business denied,
         suspended, revoked, or restricted?
     (4) disciplined you or any advisory affiliate by expelling or suspending you or the advisory affiliate from membership, barring or suspending you
         or the advisory affiliate from association with other members, or otherwise restricting your or the advisory affiliate's activities?


F.   Has an authorization to act as an attorney, accountant, or federal contractor granted to you or any advisory affiliate ever been revoked or
     suspended?


G.   Are you or any advisory affiliate now the subject of any regulatory proceeding that could result in a "yes" answer to any part of Item 11.C.,
     11.D., or 11.E.?


For "yes" answers to the following questions, complete a Civil Judicial Action DRP:
H.   (1) Has any domestic or foreign court:                                                                                                                   Yes No
         (a) in the past ten years, enjoined you or any advisory affiliate in connection with any investment-related activity?

         (b) ever found that you or any advisory affiliate were involved in a violation of investment-related statutes or regulations?

         (c) ever dismissed, pursuant to a settlement agreement, an investment-related civil action brought against you or any advisory affiliate by a
             state or foreign financial regulatory authority?
     (2) Are you or any advisory affiliate now the subject of any civil proceeding that could result in a "yes" answer to any part of Item 11.H.(1)?




Schedule A
Direct Owners and Executive Officers
1. Complete Schedule A only if you are submitting an initial application or report. Schedule A asks for information about your direct owners and executive
   officers. Use Schedule C to amend this information.
2. Direct Owners and Executive Officers. List below the names of:
   (a) each Chief Executive Officer, Chief Financial Officer, Chief Operations Officer, Chief Legal Officer, Chief Compliance Officer(Chief Compliance Officer is
       required if you are registered or applying for registration and cannot be more than one individual), director, and any other individuals with similar
       status or functions;
   (b) if you are organized as a corporation, each shareholder that is a direct owner of 5% or more of a class of your voting securities, unless you are a
       public reporting company (a company subject to Section 12 or 15(d) of the Exchange Act);
       Direct owners include any person that owns, beneficially owns, has the right to vote, or has the power to sell or direct the sale of, 5% or more of a
       class of your voting securities. For purposes of this Schedule, a person beneficially owns any securities: (i) owned by his/her child, stepchild, grandchild,
       parent, stepparent, grandparent, spouse, sibling, mother-in-law, father-in-law, son-in-law, daughter-in-law, brother-in-law, or sister-in-law, sharing
       the same residence; or (ii) that he/she has the right to acquire, within 60 days, through the exercise of any option, warrant, or right to purchase the
       security.
   (c) if you are organized as a partnership, all general partners and those limited and special partners that have the right to receive upon dissolution, or
       have contributed, 5% or more of your capital;
   (d) in the case of a trust that directly owns 5% or more of a class of your voting securities, or that has the right to receive upon dissolution, or has
       contributed, 5% or more of your capital, the trust and each trustee; and
   (e) if you are organized as a limited liability company ("LLC"), (i) those members that have the right to receive upon dissolution, or have contributed, 5%
       or more of your capital, and (ii) if managed by elected managers, all elected managers.
3. Do you have any indirect owners to be reported on Schedule B?           Yes      No

4. In the DE/FE/I column below, enter "DE" if the owner is a domestic entity, "FE" if the owner is an entity incorporated or domiciled in a foreign country, or
   "I" if the owner or executive officer is an individual.
5. Complete the Title or Status column by entering board/management titles; status as partner, trustee, sole proprietor, elected manager, shareholder, or
   member; and for shareholders or members, the class of securities owned (if more than one is issued).
6. Ownership codes are:       NA - less than 5%             B - 10% but less than 25%       D - 50% but less than 75%
                              A - 5% but less than 10%      C - 25% but less than 50%       E - 75% or more
7. (a) In the Control Person column, enter "Yes" if the person has control as defined in the Glossary of Terms to Form ADV, and enter "No" if the person does
        not have control. Note that under this definition, most executive officers and all 25% owners, general partners, elected managers, and trustees are
        control persons.
   (b) In the PR column, enter "PR" if the owner is a public reporting company under Sections 12 or 15(d) of the Exchange Act.
   (c) Complete each column.
FULL LEGAL NAME (Individuals: Last          DE/FE/I Title or Status     Date Title or Status    Ownership Control PR CRD No. If None: S.S. No. and Date of
Name, First Name, Middle Name)                                          Acquired MM/YYYY        Code      Person     Birth, IRS Tax No. or Employer ID No.
ENKO CAPITAL INVESTMENT                     FE        SHAREHOLDER       05/2016                  E           Y        N
MANAGEMENT LTD
Nkontchou, Alain, Francis                   I         DIRECTOR          05/2016                  NA          Y        N   7273030
DUSTAGHEER, QAIYOOM, GOOLAM                 I         DIRECTOR          03/2019                  NA          Y        N   7275378
Damry, Druvnath                             I         DIRECTOR          04/2017                  NA          Y        N   7275380
NKONTCHOU KAMDEM, CYRILLE,                  I         DIRECTOR          10/2020                  NA          Y        N   7714027
FLORIANT
STANLEY, CRAIG, WILLIAM                     I         CHIEF             02/2025                  NA          Y        N   3069972
                                                      OPERATING
                                                      OFFICER
JACKSON, HOLLY, SAMANTHA                    I         CHIEF             08/2022                  NA          N        N   7710973
                                                      COMPLIANCE
                                                      OFFICER
TAHER, AMBAREEN, BIBI                       I         COMPLIANCE        10/2025                  NA          Y        N   8232524
                                                      OFFICER &
                                                      MLRO



Schedule B
Indirect Owners
1. Complete Schedule B only if you are submitting an initial application or report. Schedule B asks for information about your indirect owners; you must first
   complete Schedule A, which asks for information about your direct owners. Use Schedule C to amend this information.
2. Indirect Owners. With respect to each owner listed on Schedule A (except individual owners), list below:
   (a) in the case of an owner that is a corporation, each of its shareholders that beneficially owns, has the right to vote, or has the power to sell or direct
       the sale of, 25% or more of a class of a voting security of that corporation;

       For purposes of this Schedule, a person beneficially owns any securities: (i) owned by his/her child, stepchild, grandchild, parent, stepparent,
       grandparent, spouse, sibling, mother-in-law, father-in-law, son-in-law, daughter-in-law, brother-in-law, or sister-in-law, sharing the same residence;
       or (ii) that he/she has the right to acquire, within 60 days, through the exercise of any option, warrant, or right to purchase the security.
   (b) in the case of an owner that is a partnership, all general partners and those limited and special partners that have the right to receive upon
       dissolution, or have contributed, 25% or more of the partnership's capital;
   (c) in the case of an owner that is a trust, the trust and each trustee; and
   (d) in the case of an owner that is a limited liability company ("LLC"), (i) those members that have the right to receive upon dissolution, or have
       contributed, 25% or more of the LLC's capital, and (ii) if managed by elected managers, all elected managers.
3. Continue up the chain of ownership listing all 25% owners at each level. Once a public reporting company (a company subject to Sections 12 or 15(d) of
   the Exchange Act) is reached, no further ownership information need be given.
4. In the DE/FE/I column below, enter "DE" if the owner is a domestic entity, "FE" if the owner is an entity incorporated or domiciled in a foreign country, or
   "I" if the owner is an individual.
5. Complete the Status column by entering the owner's status as partner, trustee, elected manager, shareholder, or member; and for shareholders or
   members, the class of securities owned (if more than one is issued).
6. Ownership codes are:       C - 25% but less than 50%      E - 75% or more
                              D - 50% but less than 75%      F - Other (general partner, trustee, or elected manager)
7. (a) In the Control Person column, enter "Yes" if the person has control as defined in the Glossary of Terms to Form ADV, and enter "No" if the person does
       not have control. Note that under this definition, most executive officers and all 25% owners, general partners, elected managers, and trustees are
       control persons.
   (b) In the PR column, enter "PR" if the owner is a public reporting company under Sections 12 or 15(d) of the Exchange Act.
   (c) Complete each column.
FULL LEGAL NAME (Individuals: Last DE/FE/I Entity in Which                 Status          Date Status     Ownership Control PR CRD No. If None: S.S. No.
Name, First Name, Middle Name)             Interest is Owned                               Acquired        Code      Person     and Date of Birth, IRS Tax
                                                                                           MM/YYYY                              No. or Employer ID No.
NKONTCHOU, CYRILLE, KAMDEM               I        ENKO CAPITAL             DIRECTOR        05/2016          C           Y        N   2933057
                                                  INVESTMENT
                                                  MANAGEMENT LTD
BOSQUET INVESTMENTS LTD                  FE       ENKO CAPITAL             SHAREHOLDER 05/2017              D           Y        N
                                                  INVESTMENT
                                                  MANAGEMENT LTD
KOUAM TRUST                              FE       BOSQUET                  SHAREHOLDER 12/2016              E           Y        N
                                                  INVESTMENTS LTD
PREMIER FINANCIAL SERVICES               FE       KOUAM TRUST              TRUSTEE         12/2016          F           Y        N
LIMITED



Schedule D - Miscellaneous
You may use the space below to explain a response to an Item or to provide any other information.
DAMRY DRUVNATH, DIRECTOR, DOES NOT HAVE A MIDDLE NAME/INITIAL.




DRP Pages


CRIMINAL DISCLOSURE REPORTING PAGE (ADV)

No Information Filed



REGULATORY ACTION DISCLOSURE REPORTING PAGE (ADV)

No Information Filed



CIVIL JUDICIAL ACTION DISCLOSURE REPORTING PAGE (ADV)

No Information Filed




Execution Pages
DOMESTIC INVESTMENT ADVISER EXECUTION PAGE
 You must complete the following Execution Page to Form ADV. This execution page must be signed and attached to your initial submission of Form ADV to
 the SEC and all amendments.


 Appointment of Agent for Service of Process

 By signing this Form ADV Execution Page, you, the undersigned adviser, irrevocably appoint the Secretary of State or other legally designated officer, of the
 state in which you maintain your principal office and place of business and any other state in which you are submitting a notice filing, as your agents to
 receive service, and agree that such persons may accept service on your behalf, of any notice, subpoena, summons, order instituting proceedings, demand
 for arbitration, or other process or papers, and you further agree that such service may be made by registered or certified mail, in any federal or state
 action, administrative proceeding or arbitration brought against you in any place subject to the jurisdiction of the United States, if the action, proceeding, or
 arbitration (a) arises out of any activity in connection with your investment advisory business that is subject to the jurisdiction of the United States, and (b)
 is founded, directly or indirectly, upon the provisions of: (i) the Securities Act of 1933, the Securities Exchange Act of 1934, the Trust Indenture Act of 1939,
 the Investment Company Act of 1940, or the Investment Advisers Act of 1940, or any rule or regulation under any of these acts, or (ii) the laws of the state
 in which you maintain your principal office and place of business or of any state in which you are submitting a notice filing.


 Signature

 I, the undersigned, sign this Form ADV on behalf of, and with the authority of, the investment adviser. The investment adviser and I both certify, under
 penalty of perjury under the laws of the United States of America, that the information and statements made in this ADV, including exhibits and any other
 information submitted, are true and correct, and that I am signing this Form ADV Execution Page as a free and voluntary act.
I certify that the adviser's books and records will be preserved and available for inspection as required by law. Finally, I authorize any person having
custody or possession of these books and records to make them available to federal and state regulatory representatives.


Signature:                                                             Date: MM/DD/YYYY
Printed Name:                                                          Title:
Adviser CRD Number:
309540




NON-RESIDENT INVESTMENT ADVISER EXECUTION PAGE
You must complete the following Execution Page to Form ADV. This execution page must be signed and attached to your initial submission of Form ADV to
the SEC and all amendments.


1. Appointment of Agent for Service of Process

By signing this Form ADV Execution Page, you, the undersigned adviser, irrevocably appoint each of the Secretary of the SEC, and the Secretary of State or
other legally designated officer, of any other state in which you are submitting a notice filing, as your agents to receive service, and agree that such
persons may accept service on your behalf, of any notice, subpoena, summons, order instituting proceedings, demand for arbitration, or other process or
papers, and you further agree that such service may be made by registered or certified mail, in any federal or state action, administrative proceeding or
arbitration brought against you in any place subject to the jurisdiction of the United States, if the action, proceeding or arbitration (a) arises out of any
activity in connection with your investment advisory business that is subject to the jurisdiction of the United States, and (b) is founded, directly or indirectly,
upon the provisions of: (i) the Securities Act of 1933, the Securities Exchange Act of 1934, the Trust Indenture Act of 1939, the Investment Company Act of
1940, or the Investment Advisers Act of 1940, or any rule or regulation under any of these acts, or (ii) the laws of any state in which you are submitting a
notice filing.


2. Appointment and Consent: Effect on Partnerships

If you are organized as a partnership, this irrevocable power of attorney and consent to service of process will continue in effect if any partner withdraws
from or is admitted to the partnership, provided that the admission or withdrawal does not create a new partnership. If the partnership dissolves, this
irrevocable power of attorney and consent shall be in effect for any action brought against you or any of your former partners.


3. Non-Resident Investment Adviser Undertaking Regarding Books and Records

By signing this Form ADV, you also agree to provide, at your own expense, to the U.S. Securities and Exchange Commission at its principal office in
Washington D.C., at any Regional or District Office of the Commission, or at any one of its offices in the United States, as specified by the Commission,
correct, current, and complete copies of any or all records that you are required to maintain under Rule 204-2 under the Investment Advisers Act of 1940.
This undertaking shall be binding upon you, your heirs, successors and assigns, and any person subject to your written irrevocable consents or powers of
attorney or any of your general partners and managing agents.


Signature

I, the undersigned, sign this Form ADV on behalf of, and with the authority of, the non-resident investment adviser. The investment adviser and I both
certify, under penalty of perjury under the laws of the United States of America, that the information and statements made in this ADV, including exhibits
and any other information submitted, are true and correct, and that I am signing this Form ADV Execution Page as a free and voluntary act.


I certify that the adviser's books and records will be preserved and available for inspection as required by law. Finally, I authorize any person having
custody or possession of these books and records to make them available to federal and state regulatory representatives.


Signature:                                                                                                 Date: MM/DD/YYYY
ALAIN FRANCIS NKONTCHOU-KOUOKAM                                                                            03/04/2026
Printed Name:                                                                                              Title:
ALAIN FRANCIS NKONTCHOU-KOUOKAM                                                                            MANAGING PARTNER
Adviser CRD Number:
309540