Investment Funds
Highly uncorrelated products are our top priority
Whenever we decide to include an investment product in our offering we perform a careful due diligence on strategic fit, operational soundness and unicorn status
Imagine that you can yield almost constantly a 7% to 9.5% annual return in the asset class of Short Term asset backed debt , while being totally uncorrelated and having a product with extremely low volatility. Our selected funds and notes have shown positive performance in every month since their inception and have won various awards.
Our selected Fund provides investors with the opportunity to invest in a long-term, value-oriented and concentrated portfolio of high-quality family owned & operated companies. Its unique strategy invests in family-run hidden champions with strong equity growth on the one hand and in equities which trade for a discount to their net current asset value in Western Europe, the USA and Japan on the other. The fund is suitable for long-term investors seeking an above-average return.
This Fund seeks to achieve its risk-return target by investing in consumer digital lending around the globe. This is achieved using a proprietary technology-enabled, multi-originator, multi-national investing approach aimed at creating a very granular portfolio in consumer digital lending. The portfolio prioritizes a high degree of diversification in order to meet its risk-return target.
The investment universe includes a diverse range of niche consumer digital lending instruments from traditional consumer loans, and consumer electronic financing, to buy-now-pay-later loans. It targets long-term annualized returns of 10-15% net in USD with low volatility.
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