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Investing in the Future

Strategy of investment

An investment strategy in guaranteed / insured bond issues

 

BARON FINANCES is a debt fund which will have the vocation of subscribing to secured bond

issues, in particular thanks to the guarantee of repayment of principal and interest by leading

insurance companies.

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BARON FINANCES invests the funds it raises from its own investors only in secure issues of

simple debt securities, benefiting from repayment insurance of principal and interest by leading

insurance or reinsurance companies .

 

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An investment strategy with a paternal management

 

BARON FINANCES, in its investment strategy in good family father, first looks for investment

possibilities in corporate bond issues with guaranteed capital and interest.

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BARON FINANCES will cover its investments by issuing itself Zero Coupon bond issues in return,

after having defined these investment ratios.

 

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A selective strategy investment

 

BARON FINANCES invests only in quality companies and only to finance projects with investment

amounts exceeding 10 million euros diversified and with high added value [and / or socially

responsible] that it selects at the end of a very rigorous due diligence process.

 

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A geographically and sectorial diversified investment strategy

 

BARON FINANCES finances, by subscribing to covered bonds, entities and projects located all over

the world from diversified economic sectors. This geographical and sectorial diversification allows.

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BARON FINANCE to limit any risk of dependency, at a time when geopolitical upheavals and

health crises are numerous, large-scale and systemic.

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