Incorporated as a Singapore Variable Capital Company “VCC”, The 23 Fund is a registered fund with the Monetary Authority of Singapore (MAS) and governed by the local laws. It is founded by Ryan Tan, a fund manager who has over 25 years of global investing experience.

At The 23 Fund, we believe in the power of active investing. Our investment strategy focuses on understanding future trends and identifying growth companies who can edge out competitors in the onset of the Fourth Industrial Revolution – a new era that uses modern technology such as artificial intelligence to disrupt the traditional manufacturing and industrial practices.

We adopt a rigorous 23-step analysis framework to guide our strategic decision making in investments, henceforth deriving our name of The 23 Fund”.

Below is our 23-step proprietary framework in analysing and selecting companies to invest in:

Primary:

1. Future trends
2. Key industries analysis
3. Potential market size analysis
4. Business model
5. Competitors analysis
6. Supply chain analysis
7. Product/service analysis
8. Competitive advantages (technology/size/cost)
9. Management
10. Corporate culture
11. Financial analysis: Financial statement, Balance sheet
12. Valuation
13. Risk and probability assessment

Secondary:

14. Economic cycle
15. Geopolitical
16. Regulations
17. Fiscal & monetary policies
18. Forex
19. Effects of adjacent/disruptive industries

Portfolio Strategy:

20. Overarching portfolio strategy/allocations
21. Risk management
22. Tactical consideration
23. Hedging and execution

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