Cantor Fitzgerald is a market leader in the provision of structured investments to a wide range of investor groups including personal, pension, corporate, charity and credit unions. These packaged investment strategies offer potentially higher yields than actual market returns.
Performance & Maturities
We publish our current performance for all active structured products on a monthly basis both here on our website and within our Investment Journal.
Click hereTechnology 85% Progressive Protection Bond
This is a low risk, flexible investment with no fixed investment term and offers daily liquidity and pricing. The product is redeemable daily at the option of the investor, and also callable daily by the issuer.
read moreStructured Investments
This is a low risk, flexible investment with no fixed investment term and offers daily liquidity and pricing. The product is redeemable daily at the option of the investor, and also callable daily by the issuer.
Please fill in the form below
All fields marked with * are mandatory
KEY FEATURES
- Dynamic investment strategy linked to The Fidelity Global Technology Fund, Invesco Physical Gold ETC and 2 leading bond funds.
- Continuous upward only capital protection feature, ensures a minimum repayment of at least 85% of the highest Net Asset Value (NAV) ever achieved.
- A flexible investment with daily liquidity & pricing, no fixed investment term.
- 85% Max NAV protection is provided by Societe Generale (Moody’s A1 / S&P’s A / Fitch A).
- Redeemable daily at the option of the investor, and also callable daily by the issuer.
- Asset allocation strategy aims to generate stable returns in a range of market conditions.
- This is a low risk investment (SRI Risk Score 2 out of 7) with 15% of capital at risk.
- Minimum Investment: €25,000
WHY INVEST
The Technology 85% Progressive Protection Bond is designed to generate returns linked to an innovative multi-asset fund index, whilst ensuring a minimum protected value for investors. As the Bond’s Net Asset Value (NAV) goes up so does the capital-protected amount. The Bond provides investors with 85% capital protection of the highest daily Net Asset Value (NAV) it has ever reached.
Technology 85% Progressive Protection Bond – Flyer
Technology 85% Progressive Protection Bond – Brochure
Technology 85% Progressive Protection Bond – Key Info Document
Technology 85% Progressive Protection Bond – Prospectus
Technology 85% Progressive Protection Bond – Target Market Document
Technology 85% Progressive Protection Bond – Factsheet June 2023
Barclays Bank Ireland PLC 3 Year 3.5% Fixed Rate Bond II
This Bond is categorised as a Very Low Risk with a investment Summary Risk Indicator (SRI) risk level 1 out of 7. The 100% Capital Protection at the Final Maturity Date and the investment returns are guaranteed by Barclays Bank Ireland PLC.
read moreStructured Investments
This Bond is categorised as a Very Low Risk with a investment Summary Risk Indicator (SRI) risk level 1 out of 7. The 100% Capital Protection at the Final Maturity Date and the investment returns are guaranteed by Barclays Bank Ireland PLC.
Please fill in the form below
All fields marked with * are mandatory
KEY FEATURES
- 100% Capital protection at maturity from Barclays Bank Ireland PLC
- Issuer: Barclays Bank Ireland PLC Credit Rating: S&P A+ / Fitch A+
- Fixed Rate of 3.5% p.a. (3.5% CAR) paid out annually
- A potential Extra Coupon of 0.05% at maturity based on the underlying Eurostoxx 50 Index
- Minimum Investment: €50,000
- Closing Date: 13th October 2023
WHY INVEST
The Bond matures after an investment term of 3 Years and will pay a 3.5% coupon to investors each year. At the Final Maturity Date investors will receive 100% of their initial investment back plus the final 3.5% coupon payable. Investors may also receive an Extra Coupon of 0.05% at maturity if the Eurostoxx 50 Index is at or above its Initial Level on the Final Valuation Date
Barclays Bank Ireland PLC 3 Year 3.5% Fixed Rate Bond II – Flyer
Barclays Bank Ireland PLC 3 Year 3.5% Fixed Rate Bond II – Brochure
Barclays Bank Ireland PLC 3 Year 3.5% Fixed Rate Bond II – Key Info Document
Barclays Bank Ireland PLC 3 Year 3.5% Fixed Rate Bond II – Prospectus
Barclays Bank Ireland PLC 3 Year 3.5% Fixed Rate Bond II – Target Market Document
MSCI Europe Protected Growth Bond
The MSCI Europe Protected Growth Bond is a 4 year 11 month investment with returns linked to The MSCI Europe Index (MXEU Index) with a 55% cap or limit on potential returns.
read moreStructured Investments
The MSCI Europe Protected Growth Bond is a 4 year 11 month investment with returns linked to The MSCI Europe Index (MXEU Index) with a 55% cap or limit on potential returns.
Please fill in the form below
All fields marked with * are mandatory
KEY FEATURES
- MSCI Europe Index (MXEU Index) (The Index)
- European companies may be significantly undervalued compared to their global counterparts
- 100% of The Index returns are added to 100% of initial capital invested at maturity
- 4 Year 11 Month Investment Term
- 100% Capital protection at the Final Maturity Date is guaranteed by Morgan Stanley, A1 (Moody), A- (S&P), A+ (Fitch)
- Low Risk investment (SRI risk level 2 out of 7)
- Minimum Investment: €25,000 (or €10,000 via Aviva SDIO)
- Closing Date: 17th October 2023
WHY INVEST
This investment is linked to the MSCI Europe Index (EUR) and it offers potential returns of up to 55% (9.32% CAR) together with 100% Capital Protection at the Final Maturity Date.
MSCI World Europe Growth Bond – Flyer
MSCI World Europe Growth Bond – Brochure
MSCI World Europe Growth Bond – Key Info Document
MSCI World Europe Growth Bond – Prospectus
MSCI World Europe Growth Bond – Target Market Document
100% Capital Protected Profit Lock In Bond II
This is a low-risk investment and final returns are linked to 200% Participation in the Index returns, with no cap or limit on final returns. The investment is linked to the Solactive Core US Diversified Portfolio EUR Hedged 6% VT Index (SOLCDPVE Index), and it offers unlimited return potential with 100% Capital Protection at the Final Maturity Date.
read moreStructured Investments
This is a low-risk investment and final returns are linked to 200% Participation in the Index returns, with no cap or limit on final returns. The investment is linked to the Solactive Core US Diversified Portfolio EUR Hedged 6% VT Index (SOLCDPVE Index), and it offers unlimited return potential with 100% Capital Protection at the Final Maturity Date.
Please fill in the form below
All fields marked with * are mandatory
KEY FEATURES
- Unlimited return potential from an Index linked to the SPDR S&P 500 ETF, SPDR Gold Shares and the iShares 20+ Year Treasury Bond ETF
- 200% Participation in The Index returns with no cap or limit on final returns
- 4 Opportunities to Lock In Profits and redeem early annually
- 200% of The Index returns are added to 100% Capital Protected Amount at Final Maturity Date
- 100% Capital Protection at the Final Maturity Date is guaranteed by The Goldman Sachs Group, Inc. (A2 (Moody’s) / BBB+ (Standard & Poor’s) / A (Fitch))
- Dynamic risk-controlled and diversified index aims to produce stable returns
- Low risk investment (SRI risk level 2 out of 7).
- 4 Year 11 month maximum Investment Term
- Minimum Investment: €25,000 (not available via Aviva SDIO)
- Closing Date: 16th November 2023
WHY INVEST
This Bond has 4 Opportunities to Lock in Profits and redeem early annually. If the Bond has not been redeemed early or encashed early and continues for 4 years 11 months to the Final Valuation Date, investors receive back 100% of their invested capital along with 200% of the positive performance of the Index with no upside cap or limit on returns.
100% Capital Protected Profit Lock In Bond II – Flyer
100% Capital Protected Profit Lock In Bond II – Brochure
100% Capital Protected Profit Lock In Bond II – Key Information Document
100% Capital Protected Profit Lock In Bond II – Prospectus
100% Capital Protected Profit Lock In Bond II – Target Market Document