High Yielding Asset Management Property Bond – with UK Local Authority Contracts
Details

The Basics
This property bond is offered by the buy to let division of an established UK PLC, the primary objective of which
is to purchase suitable units for use within the UK private leasing sector.
The units are then passed to Local Authorities / Government Organizations via Management Partners on fully
managed 10-year terms, with rent paid every three months (in advance) to the bond offerors.
This very simple business model secures long term cash flow and the ability to pay investor coupons/capital.
Key Features
| Term Length | 3 Years |
| Entry Level | GBP 5,000 |
| Interest | 8.5% - 11% per Annum, depending on chosen options |
| Availability | High Net Worth, Sophisticated or Professional investors* |
| Payable | Exit available at 1, 2, and 3 years. |
| Verification | Property investments are independently verified and audited |
| Reinvestment | Investors are welcome to go again at maturity |
| Partner | First class advisory and security partners |
| Application | Easy to get started with a simple application process |
*these restrictions apply to UK domiciled investors only

Investor Security
- Security: Debenture secured against PLC assets of £34.2 million (and UK Regulated Security Trustee)
- Funds: UK Regulated Investment Bank act as funds custodians
- Directors and Management Team - hugely experienced

Return on Investment
- Term: 3 Years, with exit available after 1 or 2 years depending upon option chosen
- Option 1: 8.5% per annum, paid monthly (exit at 1 Year possible)
- Option 2: 9.5% per annum, paid annually (exit at 2 year available)
- Option 3: 11% per annum, paid on maturity at the end of the 3 year term.
What makes this Investment Provider Different?
This innovative Loan Note offers much needed diversification and conservative exposure to the lucrative but traditionally volatile FX trading arena. The primary objective of the Investment Provider’s Algorithmic Trading model is to exploit market volatility. They utilise their own custom designed Algorithm to make and send high speed instructions, decisions, and transactions in the financial markets. The structure of the Algorithm is aimed at capital preservation and minimising the risk exposure of the capital being traded. The Investment provider’s business model is an extremely successful and predictable one, thus allowing them to structure predictable fixed rate Loan Note offerings. They are able to provide a Net Asset Guarantee from Group Assets, which further adds to investor security and highlights their financial strength.
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