LGT Capital Partners Global Private Equity (LGPE)
FundsPrivate Equity

LGT Capital Partners Global Private Equity (LGPE)

Managed by LGT Capital Partners

LGT Capital Partners Global Private Equity (LGPE)

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Managed by

LGT Capital Partners
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The fund offers semi-liquid exposure to global private equity, focusing primarily on secondary transactions and co-investments. It leverages LGT’s extensive global network of over 700 private equity sponsors to source attractive private equity opportunities.

Key Statistics

Fund Size

€2,300M

Target Return

14.8%

Annualized Return

26.9%

Launch Year

2024

Min. Investment

€100,000

Availability

Open through selected distributors

Structure

Luxembourg SICAV-RAIF

Product Category

Open-end

Domicile

Luxembourg

GP Type

Single

Liquidity Level

Semi-liquid

Management Fee

1.75%

Carry

Performance fee above 8% hurdle (deal-by-deal)

Hurdle Rate

8%

High Water Mark

No

ISIN

LU2656750424

Currencies

USD

Investor Eligibility

Professional

Liquidity Options

36

Highlights

$2.3B semi-liquid PE fund launched January 2024
26.9% p.a. since launch; 21.2% over 12 months (secondaries discounts)
Secondaries and co-investments in buyout funds, selective primaries
€100,000 minimum; ongoing costs ~2.3% + performance fee over 8% hurdle
36-month lock-up, then quarterly redemptions; risk 4/7

Key Information Document (KID) – EU Funds

KID Risk Indicator

4 out of 7

1
2
3
4
5
6
7
Low risk / Low rewardHigh risk / High reward

Annual Returns (KID Scenarios)

Favorable

14.8%

Allocations

Investment Strategy

Secondaries, Co-investments

Industry Focus

Buyout

Portfolio Composition

Yes

Information about fund

Discounted Buyouts, Semi-Liquid

LGT Capital Partners Global Private Equity (LGPE) is LGT’s semi-liquid private equity fund, a Luxembourg SICAV-RAIF launched on 3 January 2024 that has grown to $2.3 billion by buying secondaries and co-investments in buyout funds with selective primary commitments. Buying at a discount shows in the numbers: 26.9% a year since launch, 21.2% over the last twelve months and 7.6% in the first months of 2026, after a subdued 3.7% in 2025. Terms are for professional investors: a €100,000 minimum, ongoing costs of about 2.3% a year plus a deal-by-deal performance fee above an 8% hurdle, a 36-month lock-up and quarterly redemptions thereafter, a risk indicator of 4 of 7 and a recommended holding period of ten years.

Key Figures (2026)

Fund Size

$2.3B

Launched 3 Jan 2024

Since Launch

26.9% p.a.

12 months 21.2%; 2025 +3.7%

Strategy

Secondaries

Buyout; co-invest; selective primaries

Costs

~2.3%

+ performance fee over 8% hurdle

Lock-up

36 months

Then quarterly redemptions

Minimum

€100,000

Professional; risk 4/7

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