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Steady Growth Ventures Legal Disclosures

Legal Disclosures

The Steady Growth Ventures Fund I (the “Fund”) is not a complete investment program, but instead is intended as a strategy for investment of a relatively small portion of an investor’s assets. The Fund may be deemed to be a speculative investment; and is available only to sophisticated persons who meet all the requirements as set forth more fully in the Fund’s Subscription Agreement and (if applicable) Confidential Private Placement Memorandum (the “Memorandum”); and who have experience in financial and business matters, have sufficient available assets, and understand and can bear the investment risks of the Fund, including, but not limited to, the risk that an investor could lose some or all of its investment, as well as its liquidity constraints. There is no secondary market for limited partnership interests in the Fund and none is expected to develop. There are also restrictions on transferring interests in and redeeming interests from the Fund.

► This presentation of the Fund (this “Presentation”) is not a solicitation or an offer to buy or sell any security or interest in the Fund or any other fund advised by Steady Growth Ventures (the “Firm”) or any of its affiliates. The information provided in this Presentation and any related attachments is for illustrative purposes only and is provided solely in response to the specific request of recipient. The information in this Presentation is current only as of the date on which it was sent and is not indicative or a guarantee of the future performance of the Fund. No interests in the Fund may be sold nor may an offer to subscribe for such an interest be accepted prior to the time that a qualified offeree receives definitive investment documents (including a Subscription Agreement and, if applicable, the Memorandum) describing the offering, including the fees, risk factors and conflicts of interest with respect to the Fund. In the event of any conflict between information contained herein and information contained in the Fund’s Subscription Agreement, the Memorandum (if applicable) or the Fund’s Limited Partnership Agreement, the information in the Fund’s Subscription Agreement, the Memorandum or the Fund’s Limited Partnership Agreement, as applicable, will control and supersede the information contained herein. The information herein is not intended to provide, and should not be relied upon for, accounting, legal or tax advice or investment recommendations. You should make an independent investigation of the investment described herein, including consulting your tax, legal, accounting or other advisors about the matters discussed herein.

► The information in this Presentation should be considered confidential and no information contained herein either in whole or in part may be shown, copied, transmitted, reproduced, redistributed or otherwise given to any person without the express written consent of the Firm. There can be no assurance that the investment objectives of the Fund will be achieved. No guarantee or representation is made that the Fund’s investment program, including, without limitation, its investment objectives, diversification strategies, or risk monitoring goals, will be successful, and investment results may vary substantially over time. Nothing herein is intended to imply that the Fund’s investment methodologies may be considered “conservative”, “safe”, “risk free” or “risk averse”. Economic, market and other considerations could also cause the Firm to alter the Fund’s investment objectives, guidelines and restrictions.

► The information set forth herein is provided for discussion purposes only, does not purport to be complete, is only a summary of key information, is subject to change and does not contain certain material information about the Fund and/or other funds managed by the Firm or its affiliates. Some information in this Presentation may reflect proprietary research based upon various data sources. In addition, some information cited in this Presentation and any related attachments may have been taken from third-party sources. While such sources are believed to be reliable, the Firm does not assume any responsibility for the accuracy or completeness of such information.

► The Firm and its affiliates cannot be held responsible for any direct or incidental loss incurred by applying any of the information in this Presentation or any related attachments. The statements and opinions expressed are subject to change without notice based on market and other conditions and may differ from opinions expressed in other businesses and activities of the Firm and its affiliates.

► Certain information contained in this Presentation constitutes “forward-looking statements,” which can be identified by the use of forward-looking terminology such as “may,” “will,” “target,” “should,” “expect,” “attempt,” “anticipate,” “project,” “estimate,” “intend,” “seek,” “continue” or “believe” or the negatives thereof, other variations thereon or comparable terminology. Actual events or results, including the actual performance of the Fund, may differ materially from those reflected in or contemplated by such forward-looking statements.

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