Financial Instruments

Private Equity

CNYS maintains a part of its financial instrument’s portfolio in private equity. We identify those sectors that offer consistent incomes through demand-driven businesses.

By keeping up with global economic trends and through efficient analyses of market data we are able to successfully maintain above-market returns from assets in our portfolio.

Our success also stems from working with an expert network of financial services partners, together we can identify equity options of reputed organizations that are trading at a discount and will provide consistent returns in the long-term, while also venturing into start-ups that can provide high-value exits in the short-term.

Bonds

The CNYS financial instruments portfolio has followed the strategy of investing unleveraged capital in 20 high-yield bonds of leading banks over different geographies in the world.

Our strategy allows us to benefit from bonds held in the portfolio in two ways, the first being they will ensure an annualized income per annum, whilst the prices remain at invested or lower levels. The second is allowing us to realize substantial capital gains when there are positive market developments.

This strategy also provides a cushion in situations of bank defaults as each asset comprises only a small portion of the overall portfolio.