The Guarantee Hybrid Investment Programme enables us structure portfolios for each individual client comprising of both Money Market and Equity Portfolio products in a mix peculiar to the risk profile and liquidity needs of the clients.
Flexible duration as agreed with clients (180, 365 days and above)
Asset allocation structure will be agreed upfront with clients
Minimum liquidation notice of 10 working days.
1% penalty on the guaranteed return will be charged on investment if liquidated before the agreed tenor
Waiver on penalties on all withdrawals before maturity provided the fund is being reinvested through Guarantee Multipurpose Cooperative Society Ltd in any other product outside the one being liquidated
Guaranteed minimum returns in line with structure of portfolio
Zero COT
Dual source of returns i.e. from money market and equity investment
Helps to avoid single line of investment i.e. diversification options
Returns could begin from month since it is dual investment option