Our strategy
The core investment strategy of the CIF is to invest in the
following assets.
The funds of qualified investors APF GROUP CR SICAV a.s. and APF GROUP EUROPE SICAV P.L.C.serves for investments based on financing of agricultural entrepreneurs. Support Czech agriculture through it and evaluate your savings wisely.
500 000 000 CZK
the current value of assets
deposited into the VERDANT fund
The core investment strategy of the CIF is to invest in the
following assets.
Participation in legal entities that own agricultural land or agricultural real estate.
Participation in legal entities whose predominant activity is crop and livestock production.
Agricultural real estate related to the operation of agricultural activities (crop and livestock production).
Bonds issued by legal entities that own agricultural land and agricultural real estate or whose predominant activity is crop and livestock production.
Property rights to agricultural land and agricultural real estate.
The funds are established to value investors' funds, mainly by providing secured loans and borrowings, investing in equity companies in the agricultural sector. A significant share of the investments are indirect investments in the purchase of agricultural land within the Czech Republic.
The Fund's investments are intended to be long-term and are therefore suitable for investors with an investment horizon of at least 5 years.
Name Of Company APF GROUP EUROPE SICAV P.L.C.
Sídlo společnosti 171, TRIQ L- IFRAN, VALLETTA, VLT 1455, Malta
Registration Number SV 608
Date of Registration 11th June 2024
Website www.verdanteurope.com
Name Of Company APF GROUP CR SICAV a.s.
Legal form of the Fund company limited by shares with variable share capital (SICAV)
Fund type qualified investor fund
Underlying assets of the fund equities
Issued security Priority Investment Shares ISIN CZ0008051687
Performance Investment Shares ISIN CZ0008051695
Public marketability no
Frequency of subscription of investment shares Monthly
Minimum investment 1 mil. CZK, within the Symbion product from 100 000 CZK. CZK
Entry fee up to 3 %
Investment horizon long-term, 5 years
Frequency of repurchases of investment shares monthly
Exit fee 0 %
Taxation of fund income 5% of the fund's profits
Taxation of shareholders – natural persons 15% for redemption within 3 years, 0% for redemption after 3 years
Fund manager DELTA investiční společnost a.s.
Fund Administrator DELTA investiční společnost a.s.
Depository of the Fund CYRRUS, a.s.
Auditor of the Fund AUDIT ONE s.r.o.
We will guide you through all the steps to value your savings.
Contact us to find out more.