Due to regulatory restrictions, and the prevention of Clients/Investor solicitation, we are not allowed to publish returns to the general public.

In order to be accepted into the Fund for RMG’s Portfolio Investment or Placements Programs, you must be listed as an Accredited Investor, HNWI, Sophisticated Investor.

After we have agreed to accept you as a Client/Investor, we shall issue a Term Sheet, following and subject approval of said Term Sheet, we shall provide the Binding or Escrow Agreement.

Due Diligence is carried out only after the Client/Investor agreed to the terms and becomes  qualified, the DD will be between law firms only.

Investment RMG r3

RMG Capital Group enables Accredited Investors to participate in the Structure Portfolio Investment.

Today more than ever companies need credit facilities and cash flow to run their trade activity, like import/export, expansion, mergers & acquisitions, mezzanine debt for projects, and more.

The Alternative portfolio investment is structured from a combination of:

  1. Debt Leverage Funds – Business & Projects Funding, Mergers & Acquisitions, Business expansion.
  2. Securities Funds – Obtain Instruments, Monetize and Discount Securities, CPN funding, Financial Trade, and more.
  3. Capital Markets Funds – Value Investments, Repo Markets, MTS Markets, Credit derivatives, etc.

Single & Small-Cap Investment: (Leverage Fund)

Investment Unit:          500,000.00

Max Investment Unit:   25,000,000.00

Guaranteed Coupon:      8%

To Hedge and Secure the investments funds:
1. Trust Company from 
New York, NY – Administrator and Escrow agent – IOLTA.
2. The Trust Company and the IOLTA NY, ensured by A-rated D&O with E&O Carrier.
3. Coverage of All Risk” Insurance from an A-rated Insurance/Re-Insurance Companies upon the deposit.

 

Large-Cap Investment: 

Investment Unit:            25,000,000.00

Max Investment Unit:     500,000,000.00

To Hedge and Secure the investments funds:
1. Trust Company/Administrator and Escrow agent – IOLTA.
2. Coverage of All Risk” Insurance from an A-rated Insurance/Re-Insurance Companies upon the deposit.

* Investments from 100M we can obtain a Bank Guarantee (108%) via swift.

*** The Bond Trustee on behalf of the investor receives to their Bank trust account a Bank Guarantee, the Bank Guarantee issued from top-rated A Banks on the amount of 108% of the investment funds that secure the investment funds plus the guaranteed coupon. 3-5 days upon receiving the Bank Guarantee, the investor’s bank releases the funds and performs a wire transfer to the designated bank. (DVP settlement based).

In light of the growth of private equity company’s and private alternative investment funds in Israel/USA in recent years, with an understanding of the challenges facing these entities and market needs, ISA/SEC acted to promote repairing of important and substantial correction, which aims to expand the number of offerees to offer and sell securities in private placements, without publishing prospectuses. Following this amendment, the Finance Committee approved a significant amendment to the definition of “Accredited/Sophisticated Investors”. The amendment stipulates easier and non-accumulative quantitative funds for the definition of an “Accredited/Sophisticated Investors”, thus expanding the offerings that securities can be offered or sold to the public without a prospectus being published

IN ORDER TO PARTICIPATE IN ONE OF THE ALTERNATIVE PORTFOLIO INVESTMENTS – PRIVATE STRUCTURED PLACEMENT PROGRAMS BY INVITATION ONLY!

*** The Fund and/or the Investment Manager and/or the Privet Equity Company do not sell any participating units and, as stated above, do not constitute an offer or invitation for any investment, but a general presentation of the option to join the Company’s investor base, which is transmitted by the Company to specific investments that they may offer to join. subject to the general rules of the company, as set forth on the Company’s website. It is emphasized that the foregoing is due to the assurance of some profit and/or return, and the presented earnings and/or return data is an example of the return that resulted from certain investors in a particular investment in which they participated.

In this structured deposit, the company is engaged in marketing alternative investments. The company has an affinity for this structured deposit and has an economic interest in marketing it. Therefore, the aforementioned structured deposit may be given preference over other similar products in terms of their suitability to the customer.

This document is for informational purposes only. The exact and binding conditions of the aforementioned structured deposit are as set out in the management terms of the structured deposit.

* The Company may, at its discretion, not open the structured deposit and may at any time, at its discretion, stop receiving deposits and/or new customers.

The information in this document does not constitute a recommendation and/or offer for investment in the structured deposit. The content above substitutes for personal advice. Customer investment decisions will be determined by the nature, assets, and risk level of each client and client. It should be noted that there may be significant deviations between the estimates presented here and the actual results. Earnings achieved in the past do not indicate any future earnings.

**** Investment in accordance with Israeli and European regulations for private equity and alternative investments. The contract will be made in accordance with the transaction documents and the terms set therein. The choice of investors to participate is subject to the decision of the operator and the company only. All the agreements, reports, will be in English.