Structured Products

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.

Global 85% Progressive Protection Bond

This bond is an open-ended Investment linked to two leading global investment funds with strong performance track records and provides investors with 85% continuous capital protection of the highest Net Asset Value (NAV) ever reached.

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Structured Investments

Global 85% Progressive Protection Bond

This bond is an open ended Investment linked to two leading global investment funds with strong performance track records, and provides investors with 85% continuous capital protection of the highest Net Asset Value (NAV) ever reached.

 


VIEW INVESTMENT SUMMARY

KEY FEATURES

  • Investment strategy linked to the Fundsmith Global Equity and PIMCO Global Investment Grade Credit Bond Funds
  • Continuous upward only capital protection feature, ensures a minimum repayment of 85% of the highest Net Asset Value (NAV) ever achieved
  • Open-ended investment with daily liquidity & pricing, no fixed investment term, no early encashment penalties
  • Redeemable daily at the option of the investor and also the issuer
  • Low risk investment (SRI level 2 out of 7)
    (15% max capital at risk)
  • Guarantor: Société Générale
    (Moody’s A1/ S&P’s A/ Fitch A+)
  • Issuer: SG Issuer (the flagship issuer of Societe Generale)
  • Minimum Investment: €25,000

 

WHY INVEST

With interest rates at all-time lows, there is a need for an investment option that has the potential to deliver a higher return than deposits with limited downside risk.

img-adobe-logo Global 85% Progressive Protection Bond – Flyer
img-adobe-logo Global 85% Progressive Protection Bond – Brochure
img-adobe-logo Global 85% Progressive Protection Bond – Key Info Document
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Global 85% Progressive Protection Bond – Prospectus
img-adobe-logo Global 85% Progressive Protection Bond – Target Market Document
img-adobe-logo Global 85% Progressive Protection Bond – January Factsheet

ESG 85% Progressive Protection Bond

This is an open-ended investment which provides investors with 85% capital protection of the highest daily Net Asset Value (NAV) it has ever reached.

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Structured Investments

ESG 85% Progressive Protection Bond

This is an open-ended investment which provides investors with 85% capital protection of the highest daily Net Asset Value (NAV) it has ever reached.


VIEW INVESTMENT SUMMARY

KEY FEATURES

  • Investment strategy linked to the Robeco Sustainable Global Stars Equities Fund and the Allianz Euro Credit SRI Fund.
  • Continuous upward only capital protection feature, ensures a minimum repayment of 85% of the highest Net Asset Value (NAV) ever achieved
  • Open-ended investment with daily liquidity & pricing, no entry fees, no fixed term, no early encashment penalties
  • Low risk investment (SRI level 2 out of 7)
    15% max capital at risk.
  • Guarantor: Societe Generale
    (Moody’s A1 / S&P’s A / Fitch A+).
  • Issuer: SG Issuer (the flagship issuer of Societe Generale).
  • Minimum investment: €25,000.

 

WHY INVEST

With interest rates near all-time lows, this Environmental, Social and Governance investment bond has the potential to deliver a higher return than deposits with limited downside risk. The bond aims to generate returns in a wide range of market conditions. It provides investors with 85% continuous capital protection and exposure to an index containing 2 leading ESG investment funds with strong performance track records.

img-adobe-logoESG 85% Progressive Protection Bond – Flyer
img-adobe-logoESG 85% Progressive Protection Bond – Brochure
img-adobe-logoESG 85% Progressive Protection Bond – Key Info Document
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ESG 85% Progressive Protection Bond – Prospectus
img-adobe-logoESG 85% Progressive Protection Bond – Target Market Document

Global Leaders Kick Out Bond III

This is a 5 year investment, linked to ASML Holding NV, Barclays PLC, Royal Dutch Shell PLC and Ryanair Holdings PLC, with the potential to redeem early every 6 months after year 1 with a payment.

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Structured Investments

Global Leaders Kick Out Bond III

This is a 5 year investment, linked to ASML Holding NV, Barclays PLC, Royal Dutch Shell PLC and Ryanair Holdings PLC, with the potential to redeem early every 6 months after year 1 with a payment. This bond has 9 potential opportunities to be redeemed on any of the semi-annual valuation dates between the first and fifth anniversary of the issue date.


VIEW INVESTMENT SUMMARY

KEY FEATURES

  • Potential returns of up to 11% p.a. (not compounded).
  • The Star feature provides protection if any one of the 4 Stocks are above their Initial Price Level on the Final Valuation Date, 100% of capital is returned.
  • 50% Protection Barrier at maturity.
  • This is a high risk investment (SRI risk level 6 out of 7).
  • 5 Year investment with 9 potential opportunities to redeem every 6 months from year 1 to the Final Valuation Date.
  • Guarantor: BNP Paribas (S&P’s A+ / Moody’s Aa3 / Fitch AA-).
  • Issuer: BNP Paribas Issuance B.V. (S&P’s A).
  • Minimum investment: €25,000.
  • Closing Date: 14th February 2022.

 

WHY INVEST

This bond can produce a maximum potential return of 55% for investors at the Final Maturity Date even if the least performing stock has fallen by up to 10% from its Initial Price Level.

img-adobe-logo Global Leaders Kick Out Bond III – Flyer
img-adobe-logo Global Leaders Kick Out Bond III – Brochure
img-adobe-logo Global Leaders Kick Out Bond III – Key Info Document
img-adobe-logo Global Leaders Kick Out Bond III – Prospectus
img-adobe-logo Global Leaders Kick Out Bond III – Target Market Document

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.

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