X-REIT 6 strategically invests in a diverse range of REITs, including industrial, residential, office spaces, data centers, and more. This diversified approach ensures stable returns while mitigating risks associated with any single sector's fluctuations.
X-REIT 6 offers liquidity, allowing you to easily enter or exit positions without incurring high transaction costs. This flexibility provides a level of accessibility often lacking in direct real estate investments.
With investments primarily in U.S.-based REITs, X-REIT 6 operates within a regulated framework, providing you with transparency, quarterly reports, and adherence to stringent regulatory standards. This ensures a clear understanding of the fund's performance and financial health.
Your Unique Opportunity:
Investing in X-REIT 6 means gaining access to a curated portfolio of prime income-generating real estate assets, professionally managed for optimal returns. Whether you’re a seasoned investor or new to the real estate market, X-REIT 6 offers the perfect blend of stability, growth potential, and accessibility.
Join us in Crafting Financial Stability, Together:
X-REIT 6 invites you to consider to be part of an innovative investment strategy, where your financial goals may align with our commitment to delivering consistent, attractive returns in the dynamic world of real estate. Invest in the future of income-generating real estate with X-REIT 6 today!
The fund is strategically exposed to 5 cutting-edge stock indices, including ESG, AI, Blockchain Tech/Crypto, S&P 500, and NASDAQ.
Its investment managers are confident that in the long run it will outperform traditional indices such as the Dow Jones due to its focus on innovative technologies with substantial growth potential.
This makes it an enticing choice for investors seeking a sophisticated and high-performing investment strategy in today’s dynamic market landscape.
The Shiller CAPE (Cyclically Adjusted Price-to-Earnings) ratio, developed by economist and Nobel prize winner Robert Shiller, is a valuation measure that assesses stock market valuation by considering earnings over a 10-year period adjusted for inflation. It provides a long-term perspective on market valuation, aiming to smooth out short-term fluctuations and offer insights into whether stocks are overvalued or undervalued based on historical earnings data. into whether stocks are overvalued or undervalued based on historical earnings data.
ISIN stands for the International Securities Identification Number, which is a unique code used to identify specific securities such as stocks, bonds, and other financial instruments.
This standardized code consists of 12 characters and helps facilitate the efficient trading and settlement of securities on a global scale by providing a uniform way to identify individual securities across different markets. ISINs play a crucial role in securities trading, portfolio management, and regulatory reporting by ensuring accurate and reliable identification of financial instruments, which is essential for tracking ownership, facilitating transactions, and complying with regulatory requirements in the financial industry.
AMCs have gained popularity for their flexibility and cost-efficiency, offering a diverse range of assets under an ISIN. Quick launches, minimal issuance costs, and low entry barriers make them attractive to institutional investors
AMCs provide ongoing management benefits and customizable portfolios, distributed according to subscribed capital. They operate outside Swiss collective investment scheme regulations, offering unique opportunities to investors
This passive investment approach aims to provide broad market exposure and consistent returns, making it ideal for those seeking a low-cost strategy aligned with their financial goals