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C-bridge Capital LLC
SEC-regulated
Registered investment advisor
C-Bridge Capital LLC is a financial advisory firm established in July 2019, specializing in healthcare-dedicated private investments. The firm acts as a sub-investment adviser to the R-Bridge Healthcare Fund and the R-Bridge Healthcare Fund II, among others. The firm is wholly owned by CBC Group Investment Management Limited and is part of the CBC Group, a healthcare-dedicated private equity firm based in Singapore. The firm's services include providing investment advisory services to clients based on specific investment objectives and strategies outlined in the offering documents. Clients of the firm, including the R-Bridge Funds and C-Bridge Funds, have minimum initial investment amounts of generally $10,000,000 and $500,000, respectively. The firm manages approximately $4.9 billion in total regulatory assets under management as of December 31, 2024, with both discretionary and non-discretionary assets. C-Bridge Capital does not charge fees directly to the funds but receives compensation through the Manager based on assets under management. The firm engages in performance-based compensation arrangements and follows a detailed investment process involving due diligence, risk management, and exit strategies. Clients are advised on potential risks, including market, liquidity, and currency risks associated with investments. The firm has not been subject to disciplinary actions and maintains a Code of Ethics to ensure fair and ethical practices. C-Bridge Capital does not have custody over client securities or cash directly but ensures assets are held at qualified custodians. The firm exercises investment discretion within the parameters set by the Funds' investment objectives and policies. Voting on client securities is done in the best interest of the clients, considering Proxy Voting Policies and Procedures and Fiduciary Duties. The firm has no financial commitments impairing its ability to meet client commitments and has not undergone bankruptcy proceedings.
This firm is a Regulated Investment Advisor
Fiduciary duty to act in the best interests of your finances
Regulated by The Securities and Exchange Commission (SEC)
Transparent about fees and never take commission when recommending a financial product
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