Selectra Investments Sicav

TMF Group has completed the acquisition of Selectra Management Company, following the permission granted by the CSSF, the Luxembourg financial authority.

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About us

SELECTRA INVESTMENTS SICAV is a Luxembourg public limited liability company (société anonyme), organized as an investment company with a variable share capital (société d’investissement à capital variable or SICAV) and qualifying as an Undertaking for Collective Investment in Transferable Securities under the Luxembourg law of 17 December  2010 relating to undertakings for collective investment transposing the European UCITS V Directive (n°2009/65/CE, dated 13 July 2009).

SELECTRA INVESTMENTS SICAV has designated TMF Fund Management S.A. as its Management Company the latter being governed by Chapter 15 of the aforesaid law. 




Management Company 
TMF Fund ManagementS.A.

Custodian and principal Paying Agent

Domiciliary Agent
Kredietrust Luxembourg S.A.

Administrative, Registrar and Transfer Agent
European Fund Administration S.A.

Independent Auditor
Deloitte Audit 


Institutional investors

SELECTRA INVESTMENTS SICAV is authorized for distribution in Luxembourg, both to institutional and retail investors, through its Management Company:

TMF Fund Management S.A.
46a, Avenue J.F. Kennedy
L-1855 Luxembourg


J. Lamarck Biotech

The sub-fund aims at benefiting from increasing share prices in the biotechnology sector. 

J. Lamarck Pharma

The sub-fund aims at benefiting from increasing share prices in the pharmaceutical sector worldwide. 

Icam First

The sub-fund aims at generating a capital growth and at providing income over the medium term by investing mainly in European and United States equities and fixed income securities. 

Moneikos Balanced Fund

The sub-fund is actively managed and it does not make reference to any index. The objective of the sub-fund is to achieve capital growth by combining different eligible assets and investing principally in a portfolio of UCITS, UCITS Exchange Traded Funds (ETF) and other UCIs (the “Target Funds”), which respectively may invest mainly in cash and cash-linked instruments, bond, equity and equity-linked instruments. 

Shield Opportunities Fund

The sub-fund shall be actively managed with the objective of obtaining capital growth by investing in liquid equities listed on the main stock exchange markets of Europe, Asia and the US and in a diversified range of debt securities of any kind, including but not limited to government bonds, investment-grade bonds, high yield bonds (up to 30% of the NAV), convertible bonds, floating-rate notes, inflation-linked bonds/notes and money market instruments, issued or guaranteed by sovereign, supranational or corporate issuers, denominated in any currency.

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