Fund’s legal form:société d’investissement à capital variable (SICAV)
Fund type:qualified investor fund
Fund’s underlying assets: real estate, residential development and secured claims
Securities issued: preference investment shares
Publicly tradable:no
Share subscription frequency: monthly
Minimum client investment:CZK 1,000,000
Entry fee:up to 3%
Client’s investment horizon:4 years
Share redemption frequency:three years following the commencement of the issuance of investment shares, and subsequently at any time
Share redemption due date:within 6 months
Exit fee:20% upon redemption within 24 months
10% upon redemption at 24-36 months
0% upon redemption after 36 months
Fund yield taxation:5% of the fund’s profits
Shareholder taxation: natural persons 15% upon redemption within 3 years, 0% upon redemption after 3 years (valid for Czech tax residents only, otherwise according to the tax domicile of each investor)
Fund administrator:AVANT investiční společnost, a.s.