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What do we offer

Multi Defender

Multi Defender briefly described

We are an independent company that focuses on one financial instrument - Multi Defender.

With various analysis tools and our investment experts, we create up to two investment packages for you each month, each with a maximum of 3 base values.

Underlying values ​​can be, for example.

  • shares

  • Funds

  • Cryptocurrencies

  • Bonds

  • Options

Because the Multi Defenders are protected by a barrier, your investment is 65-85% protected. If the barrier is reached, the underlyings are sold on the next trading day and the customers get the majority of their investment paid out again.

Our many years of international experience, our independence and our professional tools and technologies set us apart and offer you a unique and honest investment experience.

Your assets are managed solely by the CS Investment Group. In this way we can guarantee a direct exchange and you have a single partner for the entire duration.

Selection of products

Our Multi Defenders are selected after a detailed analysis of the market, the opportunities and risks and our experience. Our experts observe what is happening on a daily basis and take numerous factors into account when making the selection, which then lead to our products being put out to tender. You can read more about the opportunities and risks of the investments below.

Success story

Since our inception, all of our clients have had excellent experiences with our investment products. On average you could see a 25% profit on your investment. In special cases the profit increased up to 50%.

Further information & notes


Currency risks
If the Underlyings are denominated in a currency other than the Reference Currency of the Product, investors should take into account that this may involve risks due to fluctuating exchange rates and that the risk of loss is not only dependent on the performance of the Underlyings, but also from unfavorable performance of the depends on other currency or currencies. This does not apply to currency-hedged products (Quanto structure).


Market risks
The general market development of securities depends in particular on the development of the capital markets, which in turn is influenced by the general situation of the world economy and the economic and political framework conditions in the respective countries (so-called market risk). Changes in market prices such as interest rates, prices of raw materials or corresponding volatilities can have a negative impact on the valuation of the Underlying or the Structured Product.


Malfunction risks
In addition, there is also the risk of market disruptions (such as trading or stock exchange interruptions or suspension of trading), settlement disruptions or other unforeseeable events in relation to the respective underlyings and / or their stock exchanges or markets that occur during the term or when the Structured Products are due. Such events can have an impact on the redemption date and / or the value of the Structured Products. In the event of trading restrictions, sanctions and similar events, the Issuer is entitled, for the purpose of calculating the value of the Structured Product, at its own discretion to include the Underlyings at their last traded price, at a market value to be determined at its own discretion or even worthless and / or additionally Suspend pricing in the Structured Product or liquidate the Structured Product prematurely.


Secondary market risks
The issuer or the lead manager intend to post buying and selling prices on a regular basis under normal market conditions. However, there is no obligation on the part of the issuer or the lead manager towards investors to provide buy and sell prices for certain order or securities volumes and there is no guarantee of a certain liquidity or a certain spread (i.e. difference between buy and sell prices ), which is why investors cannot trust that they will be able to buy or sell the Structured Products at a certain time or at a certain price



Legal Notice

CS Investment Group takes responsibility for the content and hereby declares that, to the best of its knowledge, the information is correct and that no material circumstances have been omitted.

This investment opportunity is only offered by CS Investment Group and cannot be acquired on the public market.
First, an offer is made with the most important information about the product, the conditions for the investment and then the contract is drawn up. The contract will be discussed again with the investor before the subscription is made.

CS Investment Group will be happy to answer any questions you may have.


CS Investment Group
Avenida Rainha Dona Leonor 23
2805-012 Almada
Portugal
info@cs-investment-group.com
Whats App Support: +351 913 197 316

© 2021 by CS Investment Group

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