Czech Capital RE Fund SICAV, a.s.

Qualified investors' fund

We and our business partners have created several attractive investment opportunities for qualified investors. We are preparing others.

Key indicators

Establishment of the fund:

13.6.2016

Real estate portfolio:

Construction projects and reconstruction of properties in the Czech Republic

Current value of assets:

CZK 107 121 351
(30.06.2019)

ABOUT THE FUND

The investment goal of the fund is to sustainably increase the fund’s resources invested by the fund's shareholders, in particular in the form of direct or indirect investments in real estate, housing units and non-residential premises, including the construction of new properties, housing units and non-residential premises predominantly in Tábor and Prague, but also in other regions of the Czech Republic.

WHY INVEST WITH US - OUR SUCCESSFUL PROJECTS

  • Above-standard expected yield on priority investment shares of 8 % p.a.
  • Up to 8 % priority share in fund profit (before the fund’s founder – holder of performance investment shares).
  • Secondary share in any potential loss of the fund; the loss is first covered from the fund capital from holders of performance investment shares.
  • We invest in real values with a stable worth growth and our projects can be found throughout the Czech Republic.
  • We have the professional background of a successful company. Expertise and many years of experience of the fund's founders.
  • Diversification of investments in various real estate projects throughout the Czech Republic.

 


Notice for investors

The Fund is a fund of qualified investors pursuant to Act No. 240/2013 Coll. and its shareholder may only become a qualified investor in accordance with Section 272 of this Act. The manager alerts investors that the value of the investment within the fund may decrease and increase and that the return of the originally invested amount is not guaranteed. Fund performance in previous periods does not guarantee the same or higher performance in the future. The investment in the fund is intended to achieve yield in its medium and long term possession and is therefore not suitable for short-term speculation. Potential investors should, in particular, consider specific risks that may arise from the investment objectives of the fund as set out in its statute. The investment objectives are reflected in the recommended investment horizon, as well as in the fund's fees and expenses.

Sharing of Key Fund Information (KID) is available at https://www.avantfunds.cz/en/obligation/. The information can be obtained in paper form at the registered seat of AVANT investiční společnost, a.s. ROHAN BUSINESS CENTER, Rohanské nábřeží 671/15 (reception B), 186 00 Prague 8.

The information given is only informative in nature and does not represent any agreement proposal or public offering, pursuant to the Civil Code provisions.

For more information about Common Reporting Standard (CRS) and Forein Account Tax ComplianceAct (FATCA), visit https://www.avantfunds.cz/en/important-information/.

Are you interested in the fund? Let us contact you.






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