The Israel Investment Fund, LP is an actively managed Israeli Stock Fund.
The Fund's objective is long-term growth of capital.
The Fund invests in companies domiciled in Israel or with the majority of its business in Israel.
The Fund is available to accredited Individual Investors and Foundations.
One of the only funds of its kind, Israel Investment Advisors is proud to offer clients the opportunity to invest in the future of Israel. Utilizing a growth strategy, we base investment decisions upon an analysis of the business fundamentals of the company and the risks within the sector and market at large.
At Israel Investment Advisors, LLC we seek to capitalize on significant differences between the current market price of a company’s stock and its intrinsic value. Our investment decisions are based upon an analysis of the business fundamentals of the company and the broader sector in which it operates. Our philosophy is oriented toward long-term wealth creation.
An important determinant of the value of a company is an assessment of its risk. All else being equal, the greater the risk associated with a company the lower its intrinsic value. For each potential investment in the portfolio, Israel Investment Advisors, LLC performs a risk analysis based on six major criteria:
This site and the information contained in it should not be the basis of an investment decision. An Investment decision should be based on your customary and thorough due diligence procedures, which should include, but not be limited to, a thorough review of all relevant term sheets and other offering documents as well as consultation with legal, tax and regulatory experts. Any person subscribing for an investment must be able to bear the risks involved and must meet the particular Fund’s investment requirements. Some or all alternative investment programs may not be suitable for certain investors. No assurance can be given that any Fund will meet its investment objectives or avoid losses. A discussion of some, but not all, of the risks associated with investing in the Fund can be found in the Fund’s private placement memoranda, subscription agreement, limited partnership agreement, or other offering documents as applicable (collectively the “Offering Documents”).