GoGoPlex Fund – Structure, Strategy & Compliance

Legal & Regulatory Status

GoGoPlex Fund LP is a Puerto Rico–based private investment fund, regulated by the Office of the Commissioner of Financial Institutions (OCIF) and registered with the U.S. Securities and Exchange Commission (SEC).
The fund operates in full compliance with the Securities Act, Investment Advisers Act, and all applicable U.S. and Puerto Rico financial regulations.

Our compliance framework adheres to:

  • Anti-Money Laundering (AML) standards
  • Know Your Customer (KYC) requirements
  • USA PATRIOT Act provisions
  • OFAC (Office of Foreign Assets Control) guidelines

Governance & Management

The fund is overseen by an experienced board and executive team specializing in asset management, capital markets, and risk mitigation.
Our governance model prioritizes:

  • Independent oversight and external audits
  • A robust internal compliance framework
  • Transparency and accountability to investors

Advisory and fiduciary oversight are provided by Celeres Capital, our Registered Investment Advisor (RIA), supported by licensed auditors, legal counsel, and tax specialists.

Investment Strategy

Our approach is disciplined and research-driven, focused on sustainable, long-term value:

  • Diversification across multiple asset classes to reduce risk.
  • Capital preservation through conservative allocation and prudent risk control.
  • Opportunistic exposure to both traditional and alternative markets.

We do not guarantee returns nor engage in speculative practices. Instead, we emphasize measured growth aligned with investor objectives.

Risk Management

Risk management is central to our structure:

  • Independent monitoring of all positions
  • Regular stress testing and scenario analysis
  • Compliance reviews and external audits for transparency

Transparency & Reporting

Investors receive quarterly statements and annual audited reports by independent certified public accountants (CPA firms).
A secure digital platform provides access to performance data, compliance documents, and governance disclosures.

Ethics & Responsibility

We maintain the highest ethical standards, prohibiting conflicts of interest, insider trading, or any practices that compromise investor trust.
Our strategy incorporates ESG principles, supporting sustainable and responsible investing.

Privacy & Security

Investor data is safeguarded through advanced encryption, cybersecurity, and confidentiality protocols, compliant with U.S. and international data protection standards.