Our commitment to institutional transparency, regulatory compliance, and investor protection — without exception.
We operate under a three-tier governance structure: Investment Committee approval for all deal recommendations, Independent Advisory Board oversight of our risk framework, and External Audit compliance for all client-facing reporting. No deal, no recommendation, and no client communication bypasses this structure.
Unanimous approval required for all investment recommendations. No deal reaches clients without full committee sign-off.
External experts in law, finance, and real estate provide independent oversight of our risk management framework.
Annual third-party audit of all client reporting, performance claims, and operational procedures.
Full compliance with SEBI, FEMA, RBI, and RERA regulations across all investment categories and client geographies.
Quarterly performance reports provided to every client. No performance claims without auditable evidence. All fees disclosed upfront — no hidden charges.
All transactions conducted under proper legal instruments. Every investment recommendation accompanied by full legal documentation and third-party verification.
Client funds are never commingled with operational accounts. Escrow structures used for all property transactions. Investor rights documented and enforced.
All client information is encrypted, access-controlled, and stored in compliance with data protection regulations. We never share client data with third parties.
P5 Privé does not earn distributor commissions from products we recommend. Our advisory fees are fully transparent and client-aligned.
We do not invest in assets with unresolved environmental, social, or governance concerns. Our ESG screening is integrated into our standard due diligence process.
Any client or prospective investor with compliance, regulatory, or governance questions is encouraged to contact our compliance desk directly.