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Method of managing financial instruments, equipment lease derivatives and other collateral instruments, data architecture, application and process program
Method of managing financial instruments, equipment lease derivatives and other collateral instruments, data architecture, application and process program
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机译:金融工具,设备租赁衍生工具和其他抵押工具的管理方法,数据架构,应用和流程程序
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摘要
A computer-implemented process ad methodology that selects collateral instruments such as equipment leases, using mathematical models, based on selection criteria, risk-reward relationships, and maturity needs resulting in the creation of new financial instrument derivatives. These new derivatives allow for creation of secured private equity, public equity, mutual funds and venture capital funds where the investors' principal is safeguarded against loss regardless of the performance of the investments being made. A two-tier investment structure is created whereby the principal amounts from the fund are invested in specially identified high yield vehicles such as residual equipment leases with high yields over certain maturities. The high yield cash flow only is then invested in higher risk investments such as venture capital start-ups companies.
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