Investment information

Structured Investment

Information about structured investment opportunities previously published by FT Asset Management.

International partners discussing investment information
Important: Investment terms, expected returns, security arrangements and availability must be confirmed in current contractual documentation. Historical website statements are not an offer, guarantee or current commitment.
Published framework

A process governed by contract and current information.

The original page describes a structured investment process involving client agreement, transfer to an escrow arrangement, provision of an agreed financial instrument and commercial buy-and-sell activity.

01

Agreement

The client and FT Asset Management agree the detailed terms and execute the relevant contract.

02

Escrow

Capital is transferred under the agreed escrow or safeguarding arrangement.

03

Security and account setup

The contract defines any financial instrument, security and FT Asset Management account arrangements.

04

Commercial implementation

FT Asset Management carries out the agreed commercial strategy, subject to the contract and applicable controls.

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