EST. 2010

GLOBAL PRIVATE INVESTMENT FIRM

STOCK MARKET INVESTMENT FUND

Medium Risk Investment

Medium Risk Investments

Overview:
Invest A Cloud Corporation offers medium risk investments focused on established cloud service expansions and strategic partnerships. These investments offer balanced returns with moderate risk exposure.

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)

Stock Market Investment Fund: Investor Overview

Fund Details

  • Fund Size: $142,145,231

Financial Projections

1. Revenue Projections

  • Industry Standard Annual Return: 8%
  • Estimated Annual Revenue: $11,371,618

2. Operating Costs

  • Standard Operating Costs: 15% of revenue
  • Annual Operating Costs: $1,705,743

3. Net Profit Calculation

  • Net Profit Before Investor Split: $9,665,875

4. Investor Returns

  • Investor Share (50% of Net Profit): $4,832,938
  • Return Per Dollar Invested: 3.40%

Summary of Key Figures

Revenue and Costs Breakdown

DescriptionAmount ($)
Fund Size142,145,231
Estimated Annual Revenue11,371,618
Operating Costs1,705,743
Net Profit Before Split9,665,875

Investor Returns

DescriptionAmount ($)
Total Net Profit9,665,875
Investor Share (50%)4,832,938
Return Per Dollar Invested3.40%

Investor Return Breakdown

Investment Amount ($)Total Net Profit ($)Investor Share (50%) ($)Return Per Dollar Invested (%)
1,000,0009,665,8754,832,9383.40%
2,500,0009,665,8754,832,9383.40%
5,000,0009,665,8754,832,9383.40%
10,000,0009,665,8754,832,9383.40%

Note: The Return Per Dollar Invested remains constant across different investment amounts due to the proportional nature of the profit distribution.


Funding Adjustment Table

To accurately reflect the amount needed for the fund and ensure the investor returns are as projected, additional funding may be required. Here’s a table for understanding potential funding adjustments:

Funding RequirementAmount ($)
Current Fund Size142,145,231
Adjusted Fund Size142,145,231
Annual Revenue12,171,618
Operating Costs1,825,743
Net Profit Before Split10,345,875
Investor Share (50%)5,172,938
Return Per Dollar Invested3.63%

Why Invest?

  • Attractive Returns: Projected return of 8% annually, with a return per dollar invested of 3.40%, competitive with industry standards.
  • Transparent Costs: Operating costs are 15% of revenue, ensuring a substantial portion of profits is available to investors.
  • Flexible Investment Amounts: Investors can contribute varying amounts and receive proportional returns, making it accessible for different investment capacities.

Invest confidently with our well-structured financial projections and transparent cost management.


Notes:

  1. 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.
  2. Investors’ Share: Reflects the 50% share of net income before tax and is calculated based on total and per-dollar investment metrics.
  3. Key Metrics: Provide relevant financial returns and metrics for investors.

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.