AIX BOND

THE FOUNDATION OF AIX BOND:

Trust & Transparency

AIX Bond offers fixed returns while minimizing risk and helping the investors invest in a relatively safe way.

Fixed-income coupon bonds provide steady interest income to our investors throughout the life of the bond and they also help reduce the overall risk in an investment portfolio.

Enable Efficient Portfolio Diversification

The AIX Fixed-income Bond carries lower volatility compared to equity or mutual fund

About AIX Bond

12% / 20%

ANNUAL YIELD

3% / 5%

FIXED QUARTERLY COUPON RATE

60 / 24

DURATION (MONTHS)

100%

BOND PAYBACK VALUE
ANNUAL YIELD
0 %
FIXED QUARTERLY COUPON RATE
0 %
DURATION (MONTHS)
0 *
BOND PAYBACK VALUE
0 %
Minimal Risk

Investors benefit by preserving their invested capital, enabled by the 100% payback of the bond.

Low Market
Volatility

Bonds bear low volatility compared to equities, mutual funds, and other equivalent investments.

Portfolio
Diversification

Bonds enable efficient portfolio diversification and thus assist in portfolio risk mitigation.

Regular Income
Stream

Fixed-income coupon bonds provide investors with a steady income, allowing them to enjoy a streamlined cash flow.

Transparent

As a publicly listed bond, Net Asset Value is available at the Vienna Stock Exchange and Bloomberg Terminal.

Global
Advantage

As a listed financial security with an ISIN number, it allows access to bond subscriptions globally.

BOND ISSUER

AIX Debt Capital Structure DAC II
Ireland

BOND ARRANGER

AIX Wealth Limited
Cayman Islands

SECURITY TRUSTEE

Highvern Corporate Administration Services Ireland Limited
Ireland

ISSUING & SETTLEMENT AGENT

ISP Securities AG
Switzerland

PLACEMENT AGENT

AIX Financial Consultation LLC
United Arab Emirates

AUDITOR

Azets Audit Services Ireland Limited
Ireland
AIX BOND is publicly listed on the MTF at the Vienna Stock Exchange under the ISIN code CH1108678579.

ONBOARDING PROCESS

PRODUCT ORIENTATION

Schedule a Meeting or Zoom meeting to discuss in detail about all features of the Bond, subscription process, payout process and payback process at maturity.

BOND SUBSCRIPTION

Clients have to initiate the Bond’s subscription via their bank using the ISIN number and bond series memorandum provided by AIX Financial Consultation LLC, with assistance from AIX Associate.

COUPON PAYOUT

Quarterly returns of  3% paid out directly to the client's bank account by the paying agent, ISP Securities AG.

BOND NAV

NAV of the bond is available at the Vienna Stock Exchange, Bloomberg Terminal and on the bank account of the client.

BOND REDEMPTION

Bond Redemption at 100% of its par value by the Issuer at maturity of 60* months from the issuance of the bond.

Interested to know more about AIX BOND
Interested to know more about AIX BOND

CONTACT US

Want to know more? Schedule a meeting with us to further discuss your investment.