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At INVIA INVESTMENTS CJSC, we offer a diverse range of financial instruments to cater to the investment needs of our clients. One of the key instruments we provide are structural notes.

Structural notes are innovative financial products that combine traditional investments with customized features to create unique investment opportunities. These notes are structured to provide exposure to specific underlying assets or investment strategies while incorporating various risk management or yield enhancement features.

With structural notes, clients can gain access to a wide range of underlying assets, including equities, bonds, indices, commodities, or currencies. These instruments allow clients to participate in the potential returns of the underlying asset, while also providing additional features tailored to their investment objectives and risk tolerance.

The customization options of structural notes are vast, offering clients the flexibility to choose from a variety of features such as principal protection, coupon payments, participation rates, leveraged exposure, or downside risk mitigation. The specific terms and conditions of the notes are designed based on the client’s preferences and market conditions.

Our team of experts works closely with clients to understand their investment goals, risk appetite, and time horizon. Based on their individual needs, we provide personalized recommendations on suitable structural notes that align with their objectives. We ensure that clients are well-informed about the underlying assets, the potential risks, and the expected returns associated with these instruments.

Furthermore, we strive to maintain transparency by providing comprehensive information and analysis on the performance of the underlying assets, market trends, and the structure of the notes. This empowers clients to make informed decisions and actively participate in the investment process.

Structural notes offer clients the opportunity to diversify their investment portfolios, enhance potential returns, and manage risk effectively. By providing access to these instruments, we aim to broaden the range of investment options available to our clients and enable them to navigate the financial markets with confidence.