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Special Situation

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Rainmaker is pleased to introduce you to:

Invico Capital Corporation

Invico Diversified Income Fund

Series B

historical performance & Target*

trailing
1 Year

  • 7.70
    %
    Income & Growth*

trailing
3 Years

  • 11.67
    %
    Income & Growth*

trailing
Since
Inception

  • 10.60
    %
    Income & Growth*

Annual
Target

  • 8.00
    %
    Income & Growth*

what is in it for you?

7% return per annum* paid monthly plus profit sharing from an award-winning, open-ended fund focused on generating monthly income through a diversified portfolio

Image of management

The value proposition for investors

Integrity, Honesty and Transparency. Founded in 2005, Invico Capital Corporation is a Calgary, Alberta based alternative investment fund management firm providing alternative investing and financing solutions. The firm and investment products are audited annually by PwC Canada with investors receiving quarterly updates. Invico was formed with the objective of creating an alternative investment fund management firm based on successful long-term relationships, hard work, careful analysis and focused decision-making.
Jason Brooks, CFA, PM President and Co-founder & Allison Taylor, MBA, PM Chief Executive Officer and Co-founder

Investment strategy

Since 2005, Invico has continually developed a diversified portfolio of high yield lending and investment opportunities. This fund is a private investment offering focused on generating monthly income through a diversified portfolio with asset collateralization or direct ownership in private assets. As at Nov 2022, Invico had ~$2 Billion under management including this fund at ~$415 Million in assets under management.

Key Considerations

  • Tax efficient - Target of approximately 50% of the annual distributions are considered a return of capital for tax purposes.
  • Over 15 years of fund management experience. Management team each has 30+ years experience in private markets.
  • The portfolio managers undertake an active management approach, which can involve significant influence or control over investee companies.
  • Recipient of the 2016 PCMA award (Diversified Mature Category) .
  • The fund has never missed a distribution or redemption throughout the fund's 9 years of operations.
  • Transparency and Governance: Quarterly reporting, annual audits by PwC, and an Independent Review Committee.

Rate of Return Targets

  • 7
    %
    Annual Income *
  • 1
    %
    Annual Equity Growth *
  • 8
    %
    Total Minimum Annual Rate of Return *
    (From Income + Equity Growth Combined)

Key benefits associated with this investment*

The suitable investor is comfortable with

Investment Objectives

Investment Sectors

Possible risks*

High-level Details

  1. 1 Year Historical Annual Rate of Return * (Income + Equity Growth Combined)
    7.7
    %
  2. 3 Year Historical Annual Rate of Return * (Income + Equity Growth Combined)
    11.67
    %
  3. Since Inception Historical Annual Rate of Return * (Income + Equity Growth Combined)
    10.60
    %
  4. Annual Rate of Return Target Minimum* (Income + Equity Growth Combined)
    8
    %
  5. Annual Rate of Return Target* (Income Only)
    7
    %
  6. Annual Rate of Return Target* (Equity Growth Only)
    1
    %
  7. Additional Profit Potential
    No
    Yes
    No
  8. Additional Profit Potential From Tax Efficient Distributions
    No
    Yes
  9. Hurdle rate for investors before management participates in profits
    7
    N/A
    %
  10. Split ratio paid to investors of additional profits (investors : Management)
    80:20
    N/A
  11. Distribution Frequency
    Monthly
  12. Minimum Investment Amount
    $
    10000
  13. Currency
    CAD, USD
  14. Target Term* (Months) - Short
    60
  15. Target Term* (Months) - Long
    72
  16. Open or Fixed Term
    Open Term
  17. Early Redemption Options
    Yes. Refer to Offering Documents
  18. Eligible for Registered Accounts (RRSP, LIRA, RIFF etc)
    Yes
    No
  19. Commission % paid to Dealer (Built-in operating expense)
    5
    %
  20. Trailer % paid to Dealer (Built-in operating expense)
    1
    %
  21. Accredited Investors Only
    No
    Yes
  22. (AUM) Assets Under Management of Issuer
    $
    1.3 Bn
  23. Date of offering documents
    April 3, 2023
* With every investment, there are risks which may or may not effect your decision to invest. Always read the offering documents.
* The target rates, historical data and dates provided can all be referenced back to the Fund Facts sheet and offering documents for each respective investment. The Fund Facts and documents are available on this website by logging in and viewing each respective investment. You can view and download all offering documents.
* Any references to % rates of return, or a length of time, are always to be considered as targets set by management of each investment. The management will strive to achieve their respective targets and may have a history of achieving these targets, however, there are no guarantees these will be achieved in the future. Actual profits may be higher or lower. No investment is guaranteed to achieve its targets or protect invested capital.
* Rates are net of fees.
* Target and historical figures were last updated : 22 March 2024
Sentinel Financial Management has been in business for over 40 years and conducts the due diligence on each investment before and during the time which any investment is available to invest into.