About Argyle Funds

Argyle Funds SPC Inc. has provided offshore investors fixed income on a quarterly basis since its inception in 2004. Argyle’s offshore mutual funds continue to offer international investors fixed income on their investments by paying above average quarterly interest. Argyle Funds has never missed a quarterly payment and has therefore held true to the stated interest that corresponds with the maturity of the specified Fund. Three year investments offer a 7.5% NET annual yield and five year investments receive a 9.5% NET annual yield. Argyle’s Principal Protected High Yield Funds are offered in the following denominations:

  • US Dollar ($)
  • Canadian Dollar (CDN $)
  • Euro (€)
  • Pound Sterling (GBP)

Argyle is a Segregated Portfolio Company (SPC) which offers additional security to the principal protection; making an investment in the Argyle Funds an excellent source of secure, fixed income for the savvy investor.

 

Argyle has created seven (7) Funds, each of which is a Segregated Portfolio. Five (5) Funds (Classes O to R and Class U) issue Shares and two (2) Funds (Classes K and L) issue fixed rate Notes. The proceeds from the issue of each respective Class will constitute Segregated Portfolio Assets of the Fund in which they are issued; these proceeds will be maintained as a separate pool of assets attributable exclusively to that Fund.

 

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