OUR MANAGEMENT STRATEGY ENABLES US TO GENERATE PREDETERMINED, SECURE RETURNS ON SPECIFIED DATES.
Our advisory investment allows to generate guaranteed pre-established cash flows on defined dates.
Our main missions are to manage: Securities stocks, known as custody.
Flows generated by securities, in particular periodic coupon payments. These are known as securities transactions.
HOW IT WORKS ?
✔ PRODUCT OVERVIEW
A meeting (in person or via Zoom) to review all the features of the security, as well as the terms and conditions for subscription, redemption, and renewal at maturity.
✔ SUBSCRIPTION TO A DEBT SECURITY
The investor initiates the
subscription in accordance with the terms and conditions provided by La Garde Investissement, which assists the investor throughout the process.
✔ PERIODIC FIXED PAYMENTS
Periodic fixed payments
are credited directly to the
investor’s bank account.
✔ REPAYMENT OF THE DEBT SECURITY
Repayment of the debt security is scheduled at intervals determined relative to the issue date, in accordance with the terms of the security.

