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Syno Group

Investment Portfolio

Syno Consistent and Conservative Portfolio

Mezzanine financing, typically of a short-term nature, caters to the specific needs of public listed companies and private limited companies with strong track records. This type of financing supports acquisitions, working capital, and selective business purposes. Our mezzanine financing emphasizes secured debt, backed by collateral valued at 1 to 2 times the loan amount. Leveraging our extensive market experience and network, we carefully select secure and promising deals to ensure consistent returns for our portfolio.

Syno Synergy Portfolio

Our strategy combines capital appreciation with consistent income generation. We prioritize creating steady income through mezzanine financing deals while pursuing capital appreciation via private placements, IPOs, and syndicate deals. Leveraging our extensive relationships and network in the capital market, we gain access to investment opportunities in potential growth companies through private placements, IPOs, and syndicate deals.

Syno Consistent and Conservative Portfolio

We emphasize capital appreciation through pre-IPO investments. Drawing on our extensive experience and a proven track record, our expert team carefully filters and selects high-potential pre-IPO companies. We invest in these companies with the expectation that they will go public within the next 1 to 3 years. By maintaining a stringent risk assessment and management process, we ensure that our investments are made within an acceptable risk framework. This strategy not only aims to maximize returns but also leverages our deep industry knowledge and market insights to identify and capitalize on promising opportunities in the pre-IPO space.