
UNIQUE INVESTMENT NUMBER: 2500112
Low Risk Investment
Unlock Global Opportunities with Invest A Cloud Corporation
Are you ready to elevate your investment portfolio with high-growth potential? Invest A Cloud Corporation invites you to join us in a premier investment opportunity in the global commercial property market.
Our latest investment product is designed to maximize your returns by leveraging our expertise in buying and selling premium commercial properties worldwide. Here’s why you should consider investing with us:
- Robust Fund Value: With a current fund value of $234,651,155, our diversified portfolio is strategically positioned for significant growth.
- Strong Revenue Potential: Anticipate an impressive annual revenue of $28,158,138, driven by expertly selected global properties.
- Efficient Cost Management: Our total annual holding costs are a competitive $3,519,767, which includes property management and maintenance. Selling costs are streamlined at $4,693,023, ensuring maximum efficiency.
- Attractive Net Profit: Enjoy a net profit of $19,945,348 after selling costs, translating into a robust 3.25% return per dollar invested. Our investors share 50% of this profit, amounting to $9,972,674.
Invest A Cloud Corporation is powered by a global network of top-tier lawyers, tax professionals, accountants, and financial experts who ensure that your investments are managed with unparalleled precision. We strategically place assets in advantageous markets, enhancing growth potential and securing your wealth.
Seize this opportunity to invest in a global portfolio that combines high-value commercial properties with expert financial management. Join us today and start building your future with confidence and sophistication. Invest A Cloud Corporation: where global real estate potential meets unparalleled investment expertise.
KEY INVESTOR INFORMATION
Investor: Open to all public investors
Investment Type: Buy and Sell Commercial Property
Minimum Investment Amount: $25,000.00
Maximum Investment Amount: No maximum (collected in increments of $25,000.00)
Payment methods: Cryptocurrency, wire/bank transfer, credit/debit card
Due Diligence: At Invest A Cloud Corporation, we ensure thorough due diligence through rigorous financial analysis, compliance with legal standards, and regular independent audits. Our transparent reporting and proactive risk management practices are designed to provide investors with reliable and secure investment opportunities.
Disclosure: Please see data below.
Risk Factors: Investing with Invest A Cloud Corporation involves risks including market volatility, economic downturns, and potential inefficiencies in property management. Changes in regulations and lower liquidity in commercial real estate may also impact returns. Investors should assess these risks and consult financial advisors to align investments with their goals and risk tolerance.
Dividends: Yearly, paid to investors desired payment destination.
Investment Holding Periods: 3 years, 5 years, 10 years & 15 years.
Return on Investment: 50% of net profit per dollar invested to the investor (You), existed out of fund on desired investment holding period.
Exit Strategy: Investor is existed on desired investment holding period. Invest A Cloud Corporation will continue to invest in this sector indefinitely.
Payout method: Cryptocurrency (public wallet address) or wire/bank transfer.
Financial Reports & Financial Data: Summarized below. Investors will receive annual updates and reports.
Contract: Investor must sign and agree to the standard terms and conditions of the Invest A Cloud Corporation Contract.
Global Commercial Property Investment Fund: Investor Overview – Data from Last Financial Year
Key Points for Investors
Financial Performance and Investment Opportunities with Invest A Cloud Corporation
At Invest A Cloud Corporation, we take pride in providing detailed and transparent financial performance metrics to our investors. Here’s an in-depth look at our fund’s performance from the last financial year, alongside compelling opportunities for current and prospective investors to maximize their returns in the coming year.
Fund Overview
- Current Fund Value: $234,651,155
- Investment Focus: Buying and Selling Commercial Property
LAST Year’s Financial Performance
1. Revenue Projections
- Industry Standard Annual Return on Commercial Property: 12%
- Actual Annual Revenue: $28,158,138
2. Holding Costs
- Annual Property Management Costs: $2,346,512
- Annual Maintenance Costs: $1,173,256
- Total Annual Holding Costs: $3,519,767
3. Selling Costs
- Brokerage Fees and Selling Expenses: $4,693,023
4. Net Profit Calculation
- Net Profit Before Selling Costs: $24,638,371
- Net Profit After Selling Costs: $19,945,348
5. Investor Returns
- Investor Share (50% of Net Profit After Selling Costs): $9,972,674
- Return Per Dollar Invested: 3.25%
Summary of Key Figures
Description | Amount ($) |
---|---|
Fund Value | 234,651,155 |
Annual Revenue | 28,158,138 |
Annual Property Management Costs | 2,346,512 |
Annual Maintenance Costs | 1,173,256 |
Total Annual Holding Costs | 3,519,767 |
Selling Costs | 4,693,023 |
Net Profit Before Selling Costs | 24,638,371 |
Net Profit After Selling Costs | 19,945,348 |
Investor Share (50% of Net Profit After Selling Costs) | 9,972,674 |
Return Per Dollar Invested | 3.25% |
Detailed Financial Analysis
Revenue and Cost Analysis
- Current Fund Value: $234,651,155
- Annual Revenue : $28,158,138
- Annual Property Management Costs : $2,346,512
- Annual Maintenance Costs : $1,173,256
- Total Annual Holding Costs : $3,519,767
- Selling Costs: $4,693,023
- Net Profit Before Selling Costs: $24,638,371
- Net Profit After Selling Costs: $19,945,348
- Investor Share (50% of Net Profit After Selling Costs): $9,972,674
- Return Per Dollar Invested: 3.25%
Cost of Holding Commercial Property in current financial year
- Property Management Costs: Typically 1% of the property value annually.
- Maintenance Costs: Typically 0.5% of the property value annually.
- Selling Costs: Brokerage fees and other selling expenses are typically around 2% of the property value as per industry standards.
- Total Holding Costs: 1.5% of property value annually, plus 2% for selling costs.
- Realistic Returns: Projected annual returns are based on industry standards and current market conditions.
- Comprehensive Costs: Includes all relevant holding and selling costs to ensure transparency.
- Consistent Profit Distribution: Returns per dollar invested are consistent across various investment amounts.
Invest with confidence knowing that our financial projections are grounded in industry averages and rigorous cost assessments. For more information or to invest, please contact Invest A Cloud Corporation.
Notes:
- Tax Expense: Tax liability is solely the investors responsibility. All jurisdiction taxes of the business entity will be complied with dependent on the taxation rate of business entity/entities jurisdiction/ domicile and deducted from all gross profits/losses.
- Investors’ Share: Reflects the 50% share of net income before tax and is calculated based on total and per-dollar investment metrics.
- Key Metrics: Provide relevant financial returns and metrics for investors.
Why Invest with Invest A Cloud Corporation?
- Proven Performance: Our fund has consistently delivered robust returns, leveraging a 12% annual return on commercial properties.
- Transparent Financials: We provide detailed financial reports, ensuring clarity and confidence in your investment decisions.
- Strategic Opportunities: With a current fund value of over $234 million, we are positioned to capitalize on high-value commercial properties, offering significant growth potential.
- Attractive Returns: Our returns are highly competitive, with a consistent return of 3.25% per dollar invested.
Invest with Invest A Cloud Corporation to take advantage of our proven track record and strategic investment opportunities. Apply today to explore how you can be part of our successful future.
Disclaimer:
All investments involve risks, and past performance is not indicative of future results. Investors should carefully review all information provided, conduct their own due diligence, and consult with financial advisors before making investment decisions.