Our company is specialized in "corporate finance" with a particular propensity for asset valuation and income.
During two decades, we have developed techniques in research and development of considerable interest, in synergy with the major banking and financial groups existing in the world.
Our working system is aimed primarily at understanding the real needs of the customer to satisfy and improve the management of its assets or find the best possible solution for the strategic plans of development or consolidation of onerous exposures.
Below, are some examples of optimization of asset:
&bull Possibility to achieve returns between 8% and 15% of financial assets, preserving the location where they are deposited
&bull Possibility to produce high returns on real estate assets, with collateral consisting bunds in high efficiency so that transform the debt capital in venture capital
&bull Possibility to achieve high returns by acquiring shareholdings in companies with high returns
&bull Possibility to achieve high returns by investing in companies with IRR between 12% and 20% and more per annum
&bull Possibility to consolidate debt with structured finance transactions.
All this, with the help of partners, funds and institutions of international importance.