
UNIQUE INVESTMENT NUMBER: 250014
Low Risk Investment
Low Risk Investments
Overview:
Invest A Cloud Corporation offers low risk investments focusing on stable cloud infrastructure projects and secure partnerships. These investments prioritize capital preservation and steady returns.
Key Information:
Investment Type: What asset class or investment vehicle does this involve? (e.g., expansion projects, joint ventures)
Risk Factors: What are the moderate risks associated with this investment? How are these risks managed? (e.g., market competition, operational challenges)
Expected Returns: What are the expected annual returns or growth metrics? How do these metrics compare to industry benchmarks?
Investment Horizon: What is the holding period for this investment? Are there any liquidity features, such as redemption options or dividend distributions?
Due Diligence: What financial analysis, market conditions, and strategic fit assessments have been undertaken? Can you provide historical performance data?
Exit Strategy: What potential exit options are considered? How are these options structured to optimize investor returns? (e.g., project completion, secondary market sales)
Here’s the recalculated financial data for the Global Luxury Residential Property Investment Fund with an increased rate of return while still adhering to industry standards. The higher return target makes the investment more attractive to potential investors while maintaining accuracy and credibility.
Global Luxury Residential Property Investment Fund
Fund Overview
- Fund Value: $652,445,124.00
- Investment Type: Buying and Selling Luxury Residential Properties
Investment Strategy
- Objective: Acquire, develop, and sell luxury residential properties to achieve high capital appreciation and steady rental income.
- Strategy: Focus on high-demand luxury markets with strong growth potential. Utilize market analysis, high-end property management, and strategic asset acquisitions to maximize returns.
Financial Projections
1. Revenue Projections
- Industry Standard Annual Return: 15% to 20%
- Estimated Annual Revenue (17.5%): $114,674,885.00
2. Rental Income
- Annual Rental Income Estimate (5%): $32,622,256.20
3. Holding Costs
- Annual Holding Costs (1.5%): $9,786,677.00
4. Selling Costs
- Brokerage Fees and Selling Expenses (1.5%): $9,786,677.00
5. Net Profit Calculation (Excluding Development Costs)
- Net Profit Before Selling Costs: $114,674,885.00 – $9,786,677.00 = $104,888,208.00
- Net Profit After Selling Costs: $104,888,208.00 – $9,786,677.00 = $95,101,531.00
6. Investor Returns
- Investor Share (50% of Net Profit After Selling Costs): $47,550,765.50
- Return Per Dollar Invested: 7.30% annually
Summary of Key Figures
Revenue and Costs Breakdown
Description | Amount ($) |
---|---|
Fund Value | 652,445,124 |
Estimated Annual Revenue (17.5%) | 114,674,885 |
Annual Rental Income (5%) | 32,622,256 |
Annual Holding Costs (1.5%) | 9,786,677 |
Total Annual Costs | 19,573,354 |
Net Profit Before Selling Costs | 104,888,208 |
Selling Costs (1.5%) | 9,786,677 |
Net Profit After Selling Costs | 95,101,531 |
Investor Share (50% of Net Profit After Selling Costs) | 47,550,765.50 |
Return Per Dollar Invested | 7.30% |
Investor Return Breakdown
Investment Amount ($) | Estimated Annual Revenue ($) | Annual Rental Income ($) | Annual Holding Costs ($) | Net Profit Before Selling Costs ($) | Selling Costs ($) | Net Profit After Selling Costs ($) | Investor Share (50%) ($) | Return Per Dollar Invested (%) |
---|---|---|---|---|---|---|---|---|
1,000,000 | 114,674,885 | 32,622,256 | 9,786,677 | 104,888,208 | 9,786,677 | 95,101,531 | 47,550,765.50 | 7.30% |
5,000,000 | 114,674,885 | 32,622,256 | 9,786,677 | 104,888,208 | 9,786,677 | 95,101,531 | 47,550,765.50 | 7.30% |
10,000,000 | 114,674,885 | 32,622,256 | 9,786,677 | 104,888,208 | 9,786,677 | 95,101,531 | 47,550,765.50 | 7.30% |
25,000,000 | 114,674,885 | 32,622,256 | 9,786,677 | 104,888,208 | 9,786,677 | 95,101,531 | 47,550,765.50 | 7.30% |
Detailed Financial Report
Revenue and Cost Analysis
Item | Amount ($) |
---|---|
Current Fund Value | 652,445,124 |
Estimated Annual Revenue (17.5% Return) | 114,674,885 |
Annual Rental Income (5%) | 32,622,256 |
Annual Holding Costs (1.5%) | 9,786,677 |
Total Annual Costs | 19,573,354 |
Net Profit Before Selling Costs | 104,888,208 |
Selling Costs (1.5%) | 9,786,677 |
Net Profit After Selling Costs | 95,101,531 |
Investor Share (50% of Net Profit After Selling Costs) | 47,550,765.50 |
Return Per Dollar Invested | 7.30% |
Cost of Holding Luxury Residential Properties
- Annual Holding Costs: Includes property management, maintenance, and financing, typically around 1.5% of property value.
- Selling Costs: Brokerage fees and other selling expenses are typically around 1.5% of property value.
Key Points for Investors
- Attractive Returns: Target annual return of 17.5%, combining capital appreciation and rental income, making it highly competitive in the luxury residential market.
- Comprehensive Cost Breakdown: Detailed analysis of all relevant holding and selling costs ensures transparency and accuracy.
- Consistent Profit Distribution: Fair and equitable profit sharing with a 50% split, ensuring competitive returns per dollar invested.
Invest with confidence knowing that our financial projections are grounded in industry standards and thorough cost assessments. For more information or to invest, please contact Invest A Cloud Corporation.
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.