We are a private investment fund manager, customer centric.
We manage five investment funds, each focused on the needs of our clients.
Mainly, in alternative investment products that generate income (or income for customers). Even in products that are not correlated with the financial markets, offering significant diversification to investors.
Every investment always entails certain risks assumed, according to the profitability that we hope to obtain.
Yes. All our products have levels of protection that minimize the possibility that our investment could be lost. Each product has to be analyzed individually and review the collateral guarantees it offers. This is a unique benefit that gives peace of mind to the investor.
We can also create structures that invest in stocks, indices, ETFs, Bonds and other financial assets. Always under the scheme that generates a certain income for our clients and that have protection barriers.
We work with world-class international products. The companies we work with are located in the main financial cities of the world.
In US dollars. If the client would like another investment currency, such as Pounds Sterling (GBP) or Euros (EUR) we can search for instruments in those currencies.
It is the periodic payment of the return offered by the investment instrument (the product).
It will depend on the contracted product. It can be paid quarterly or semi-annually.
Yes. It is advisable to diversify your investment.
It will depend on the needs of the client, the contracted product, the investment horizon, but they can range between 8 and 12% in US dollars. Custom structures can be created in order to achieve higher returns (depending on the amount of the investment, market situation and the underlying assets chosen).
The client signs an adhesion of the product that he wants to contract in the formats that we have available.
The client receives a copy of the documents they sign, including the fund's participation regulations and other documents if necessary.
Yes. A commission is charged for the administration of the fund.
Customers have access to an information portal.
It depends on the contracted product but generally it can range between 2 and 4 years.