Posts Tagged ‘stock exchange & stock markets’

Martin Wendt

Sunday, November 12th, 2017

Willing to sell investors in ship funds have the ability to sell their holding and to knock out an attractive yield for themselves when requesting appropriate broker. Brokers such as E.g. the Nordic mbH (www.nordic-finanz.de) these recommended estate agents are financial investment company. A sales process is then as follows: 1) the investor approaches with his sales request that the Nordic financial. This can be done personally, by phone, email or fax. In the (still) is called investors the name of his involvement and the participation, he would like to sell (Note: A partial sale of ship funds is also possible!) 2.) the broker of Nordic financial now probed the market due to its large network and determines where investors would obtain the best price/rate.

This process is usually quite fast and takes only a few days. 3.) the broker willing to sell approaches again the and tells him the best price that could be obtained. 4.) the seller is ready to sell at this price, then he will send all necessary documents and the actual sales begins. This takes usually 2-4 weeks. His participation will be transferred at the end to the new buyer, and he receives a payment of the purchase price on his bank account.

Throughout the settlement process the Nordic financial always is to the seller. In addition to a comprehensive education to the amount of the purchase price (why my involvement has said price and not more or less?) here also information about the ship market in General. Any taxable differences will be pointed out also (it discusses them but the best then in detail with the accountants). Good brokers is also the possibility to check the entire portfolio of the sale-willing investor, to possibly dormant return boosts’ to discover. “Because I am owner of ship funds and me the theme sale” burned a few months ago even under the fingernails, and I wanted to here pass on my experience to anyone interested. Ship funds are an exciting and profitable form of investment, but this is even more interesting, I think that if you know that you can sell this well even during the term. Martin Wendt

Managing Director

Wednesday, November 8th, 2017

Savings through the use of high-quality technology bad Gandersheim, the 28.04.2011. The providers in the area of closed-end funds and investments have hard times behind him, which ultimately resulted in having to think about economies of scale. In fact it is being an entrepreneur there to save costs where it is possible. This is of course a challenge for fund initiators”, says Wolfgang Bach as Managing Director of F.I.T. financial information technology GmbH. His company specialises as a software developer and computer center, specifically for the target group of the closed-end fund providers, but also of cooperatives to offer outsourcing in the area of customer relationship management, Commission accounting and project management.

Hereby linked: The rule-significant cost savings, because F.I.T.. exclusively on its core competence focused and also economies can use. High-quality technology is used in the implementation of the work. F.I.T.. uses an ORACLE database and a HP-UNIX operating system an optimized with a workflow management system. 280,000 customers and more than 500,000 contracts administered so far professionally.

To handle large amounts of data, there is no problem for us”, says the Managing Director of the F.I.T. financial information technology GmbH. At one, at the same time extremely tempting reward system for the customers: Because after one-time setup costs for installing only per contract charges. This makes the F.I.T..-Fund management to calculate, manageable and thus especially exciting in the context of saving processes. Data management, data backup and the current adjustment, taking into account the data protection regulations is included in the services offered. An underwriter that decides to cooperate with F.I.T.. can be accessed while also taking into account the above-mentioned privacy rules over the Internet directly to its data. Of course, only on its own”, the F.I.T.. explains CEO Bach. In the context of Contract management takes over F.I.T.. all services of investor administration: acceptance, examination, as well as vote on the payment and Dunning if necessary, up to the dispatch of investor information, as well as the tax settlement. This includes also carry out all movements. What is generally understood by the keyword distribution partner support counts, however, to the performance of sales management. The acquisition and support of sales partners such as also the Commission calculation including the transfers. In addition, controlling system offered the issuer of a sales, with sales reports, statistical surveys, completion rates and more sales figures achieved the. That therefore both a wide variety of structures can be calculated and entered on individual needs, refer to the F.I.T..-Managing Director by itself. F.I.T.. financial information technology GmbH thus provides a fully outsourced investor – and broker management from a single source to fair conditions. Just the predictability of the Cost makes interesting, F.I.T.. these related considerations when it comes to lower fixed costs in the company.