Fixed Annual Yield + 3% Premium

investment-options_7-fixed-annual-yield

REQUIRED INVESTMENT

The minimum entry amount within our Fixed Yield program for any individual investor is 125,000 EUR.

MODUS OPERANDI

A Bond with its relevant coupon is issued by the Company, carrying a fixed yield redeemable on an annual basis. The yield percentage can reach up to 7% and is agreed between the parties before its starting date. The yield will remain unchanged until end of terms. Yields are stipulated according to the market conditions at the date of the agreement and vary between a minimum of 4.75% and a maximum of 7%. In case of terms renewal at expiration, a 3% premium will be added to the ROI cumulated at the date of the renewal.

Active Members can ask about our Fixed Yield to date at exec@localhost. 

 

DETAILS OF ROI

UPON MATURITY OF TERMS (on an annual or semi-annual basis):

First Annual Yield Redemption: from 4.75% up to 7%

Second Annual Yield Redemption: from 4.75% up to 7%

Third and Final Annual Yield Redemption: from 4.75% up to 7%

Global Cumulative ROI at Bond Maturity: from 14.25% up to 21%.

 

UPON RENEWAL OF CONTRACT TERMS OVER BOND MATURITY (on an annual or semi-annual basis):

First Annual Yield Redemption: from 4.75% up to 7%

Second Annual Yield Redemption: from 4.75% up to 7%

Third and Final Annual Yield Redemption: from 4.75% up to 7%

Renewal Premium: + 3%

Global Cumulative ROI after 36 Months: from 17.25% up to 24%.