About Argyle Funds

Argyle Funds SPC Inc. has provided offshore investors fixed income on a quarterly basis since its inception. 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 an 8% NET annual yield and five year investments receive a 10% NET annual yield. Argyle’s Principal Protected High Yield Funds are offered in the following denominations:

  • US Dollar ($)
  • Canadian Dollar (CDN $)
  • Euro (€)

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 six (6) Funds, each of which is a Segregated Portfolio. Four (4) Funds (Classes O to R) 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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