Why Invest
Unique Investment Asset => The credit claim within the fund’s assets is a specific investment asset secured by ownership shares (stocks or business interests) in the relevant borrower.
Stable Yield => The interest income generated by the provided credit is, by definition, a stable and predictable income. The fund portfolio’s performance is independent of the functioning and performance of the capital markets or real estate market.
Proven Investment Strategy => The fund’s business model has been tested in practice through the long-term successful operation of its investment advisor, Mezzanine Capital s.r.o., Prague.
Professionally Managed Risk => The fund’s credit risk is professionally managed in accordance with the principles of ‘best practice’ in the field of finance and capital markets.