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Reference

Glossary

The terms used across the products in the Vault

Actively Managed Certificate AMC
A certificate whose underlying portfolio is managed at the discretion of a portfolio manager, who may rebalance it within a defined investment universe throughout the product’s life. Issued as a security with an ISIN, it makes a strategy bankable: it can be bought and held through an ordinary securities account. Investors bear the credit risk of the issuer.
Alternative Investment Fund AIF
A collective investment vehicle outside the UCITS framework, such as a fund investing in private equity, real estate, infrastructure or commodities. In Liechtenstein and the EU, AIFs are governed by the AIFM rules and are typically reserved for professional investors.
Annual Percentage Yield APY
The effective yearly rate of return on an investment, including the effect of interest or payouts being compounded within the year.
Annualized Return on Investment AROI
The return on an investment expressed as an average yearly rate, so that investments held for different lengths of time can be compared on a like-for-like basis.
Auditor
An independent firm that examines the financial statements of a fund or issuer and confirms that they give a true and fair view and that the vehicle complies with the applicable rules.
Compound Annual Growth Rate on Equity CAGR
The constant yearly rate at which invested equity would have had to grow to move from its starting value to its ending value, assuming profits are reinvested. It condenses uneven year-to-year results into a single figure.
Cryptocurrency
A digital asset that uses cryptography and a distributed ledger (blockchain) to record ownership and transfers without a central authority. Bitcoin and Ether are the best-known examples.
Debt
Capital provided as a loan that must be repaid, usually with interest, on agreed terms. Lenders rank ahead of shareholders if the borrower becomes insolvent.
Depositary
The regulated institution, usually a bank, that holds a fund’s assets in safekeeping, monitors its cash flows and checks that the fund manager acts in line with the law and the fund documents.
Earnings Before Interest and Taxes EBIT
A measure of a company’s operating profit: revenue less operating expenses, before financing costs and taxes are deducted.
Equity
An ownership stake in a company, such as shares. Shareholders take part in profits and growth, but are paid last if the company is wound up.
Fund Administrator
The service provider that runs a fund’s operations: calculating the net asset value, keeping the books, processing subscriptions and redemptions, and preparing investor reports.
Fund Manager
The licensed company responsible for managing a fund in line with its constitutive documents, including investment decisions, risk management and compliance. In Liechtenstein this is the AIFM or UCITS management company.
Fund Promoter
The party that initiates a fund, shapes its concept and brings it to investors — typically the sponsor or originator behind the strategy.
Internal Rate of Return IRR
The discount rate at which the net present value of all of an investment’s cash flows equals zero. It is used to compare the profitability of investments with irregular cash flows.
International Securities Identification Number ISIN
A twelve-character code that identifies a security uniquely worldwide. It starts with a two-letter country code — CH for Switzerland, LI for Liechtenstein — and is what banks use to trade, settle and hold the security.
Investment Universe
The full set of assets a portfolio manager is permitted to invest in, as defined in the product documentation — for example particular asset classes, regions or sectors.
Limit Order
An instruction to buy or sell a security only at a specified price or better. It protects against an unfavourable price, but may not be executed if the market never reaches the limit.
Market Order
An instruction to buy or sell a security immediately at the best price currently available. Execution is assured; the exact price is not.
Net Present Value NPV
The value today of an investment’s expected future cash flows, discounted at an appropriate rate, less the initial outlay. A positive NPV indicates the investment is expected to create value.
Portfolio Manager
The professional or firm making the day-to-day investment decisions for a portfolio, fund or AMC, selecting and weighting assets within the permitted investment universe.
Return on Investment ROI
The gain or loss on an investment relative to its cost, usually expressed as a percentage.
Risk Manager
The function that identifies, measures and monitors the risks of a fund or portfolio — market, liquidity, credit and operational — and keeps them within the agreed limits.
Royalties
Payments made to the owner of an asset such as a music catalogue, patent or brand in return for the right to use it. Royalty streams can form the underlying income of an investment product.
Share Register
The official record of a company’s or fund’s shareholders, showing who holds how many shares or units.
Société d’Investissement à Capital Variable SICAV
An open-ended investment company with variable capital, common in Luxembourg and elsewhere in Europe. Its capital rises and falls as investors subscribe for and redeem shares.
Supervisory Authority
The public regulator that licenses and oversees financial institutions and products — FINMA in Switzerland, the FMA in Liechtenstein.
Tracker Certificate
A certificate that passively follows the performance of an underlying asset, index or basket, typically one-to-one after fees. Unlike an AMC, its composition is not actively changed by a manager. Investors bear the credit risk of the issuer.
Undertaking for Collective Investment in Transferable Securities UCITS
An EU framework for investment funds that meet strict rules on diversification, liquidity and investor protection. UCITS funds may be marketed to retail investors across the EU and EEA, including Liechtenstein.
Valoren Number Valor
The Swiss security identification number assigned by SIX. It forms the core of Swiss and Liechtenstein ISINs.

Definitions are general explanations for reference only. The legally binding terms of any product are set out in its Product Documentation.

Products

Current Opportunities

Structured products and funds held in the Vault

Funds
AIF
Green Hydrogen

H2CRETE Fund

ISINLI1359341677
View
UCITS Live
Multi-Asset

Global Wealth Fund

ISINLI0042401161
View
AMC, Tracker Certificates
AMC Live
Digital Assets

DX Digital Asset Index

ISINCH1272476834
View
AMC Live
Equities

ECX Equity Capital Index

ISINCH1108675922
View
AMC Live
Multi-Asset

PAM Diversified Index

ISINCH1376932427
View
AMC Live
Multi-Asset

PAM Selected Portfolio

ISINCH1403552479
View
AMC Live
Real Estate

Sanders Real Estate Index

ISINCH1274738983
View
AMC Structuring
Music

38 Global Music Index

ISINTBD
View
AMC Live
Digital Assets

NETWRK Asset Index

ISINCH1427490235
View
AMC Live
Digital Assets

NETWRK Capital Index

ISINCH1474785735
View
AMC Live
Ferraris

The Analogue Collection

ISINCH1518693069
View
Tracker Live
Superyachts

Yatzo Yacht

ISINCH1518693358
View
AMC Live
Technology

Exponential Science Core

ISINCH1458229940
View
AMC Completed
Technology

Anker Technology Index

ISINCH1427490011
View
AMC Structuring
Multi-Asset

SCP Liquid Gold AMC

ISINTBD
View
AMC Structuring
Alternative Assets

SCP Private Silver AMC

ISINTBD
View
Tracker Structuring
Technology

Front Brake Light

ISINCH1468510909
View
AMC Structuring
Digital Assets

Exponential Science Quantum

ISINTBD
Tracker Structuring
Green Hydrogen

BLOOH Hydrogen

ISINTBD
AMC Structuring
Real Estate

Sanders CY-GR Real Estate Index

ISINTBD
AMC
Technology

Med Tech Index

ISINTBD
AMC
Digital Assets

Rubix Digital Asset Index

ISINCH1474785859
AMC
Real Estate

Equity Credit Finance Index

ISINCH1274738991
AMC
Real Estate

Real Estate

ISINTBD
Learn More About Actively Managed Certificates and Structured Products