SINNAMAS Funds/Bonds
SINNAMAS administers financial investment from third parties to complement SINNAMAS programs, projects and activities aimed at meeting emerging needs of different countries. To receive investment, SINNAMAS establishes trust funds (Open or close; reimbursable and non-reimbursable) on behalf of government bodies and corporations. Investment is received from countries in Europe, Asia, and the Americas, as well as multilateral institutions and private donors.
SINNAMAS Medium Term Note Series 1

Issuer
SINNAMAS Investment Bank & Capital Trust
Guarantor (if any)
N.A.
Date of Issue
1 June 2022
Amount Issued
GBP 1,000,000
Time Remaining
0 day(s) to go
Amount Raised
GBP 1,000,000
Coupon/Returns
4.6% P.A.
Maturity Date
1 June 2025
Minimum Denomination
GBP 1,000
SINNAMAS Medium Term Note Series 2

Issuer
SINNAMAS Investment Bank & Capital Trust
Guarantor (if any)
N.A.
Date of Issue
1 October 2022
Amount Issued
GBP 1,000,000
Time Remaining
0 day(s) to go
Amount Raised
GBP 1,000,000
Coupon/Returns
4.6% P.A.
Maturity Date
1 October 2025
Minimum Denomination
GBP 1,000
SINNAMAS Global FinTech Opportunities Fund

Portfolio Manager
SINNAMAS Investment Bank & Capital Trust
Benchmark
S&P 500 Index
Inception Date
1 June 2022
Fund Size
GBP 1,700,000
Number of Asset Classes
40-50
Management Fees
1.1%
Performance Fees
<GBP 25,000, 30% >GBP 25,000, 20%
Mininum Investment
GBP 1,000
Fund Deployment Weekly
Every Tuesday
3 Months Avg Fund Performance
8.8%