Catalyst for Next-Generation Funds
OWL Inclusive operates as our in-house, CSSF-supervised AIFM and white-label general partner, purpose-built to incubate new investment vehicles with speed and certainty. Acting as an extension of your team, we deliver the full governance, risk management and operational backbone required to transform a compelling strategy into a launch-ready fund.
From structuring and regulatory clearance to NAV oversight and investor reporting, every process is engineered for integrity and efficiency, so managers can focus on performance while sponsors gain immediate institutional credibility.
With OWL Inclusive, alternative assets are safeguarded by rigorous oversight and brought to market through a turnkey platform that converts bold investment ideas into fully compliant, investor-ready realities.
Our services
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We convert your investment vision into a fully formed, investor‑ready fund, swiftly and without friction.
Our team designs the optimal legal framework, drafts all statutory and marketing documents, and shepherds the vehicle through every regulatory checkpoint.
While we coordinate counsel, depositary and service partners, you stay focused on strategy and capital raising, confident that your fund will open on time, on budget and with the institutional credibility OWL Inclusive guarantees.
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We shoulder the full regulatory burden so you can concentrate on performance.
OWL Inclusive secures and maintains your AIFM licence, manages all CSSF interactions, and keeps statutory filings on schedule.
Our governance specialists craft and update the core policies, risk, valuation, remuneration, conflicts and supply seasoned board members who align fiduciary duty with investor expectations.
With us at the helm, your structure remains continuously compliant, transparent and inspection‑ready.
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Our independent desk monitors every position against mandate limits, conducts stress‑testing and scenario analysis, and delivers clear, data‑rich dashboards to managers and boards alike.
From market and liquidity metrics to ESG and concentration checks, we translate raw figures into actionable insight, preserving strategy integrity while protecting investor interests in real time.
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Our administration platform combines meticulous fund accounting with daily, weekly or monthly NAV production, each figure reconciled across custodians and valuation sources before release.
We prepare IFRS and Luxembourg GAAP compliant financial statements, coordinate audits, and manage tax and regulatory filings, delivering audit‑ready data through a secure investor portal.
The result is transparent, precision‑engineered reporting that investors and regulators can rely on without question.
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We steward the full investor journey with white‑glove precision. Digital KYC/AML onboarding, subscription and redemption processing, capital‑call notices and distribution payments are executed through a secure portal, with registers updated in real time and reconciled to depositary records.
Timely statements, tax reports and bespoke communications keep stakeholders fully informed, ensuring every touchpoint meets institutional standards of confidentiality and compliance.
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We accelerate your fundraising by pairing compliant market reach with curated investor access.
OWL Inclusive secures cross‑border passporting, reviews marketing materials for regulatory alignment, and coordinates with placement agents and platforms to position your strategy before the right allocators.
Our team manages data‑room diligence, tracks pipeline analytics, and facilitates co‑investment opportunities, converting interest into committed capital while maintaining the highest standards of disclosure and governance.