Please be aware that this website uses cookies, which collect data on website visits. The data is anonymous and helps us to improve the usability of the site and the user experience. By continuing to use this site, you agree that we will use cookies on your device. Find out more
Guaranteed interest rate only
High liquidity investment
Low liquidity investment
Most popular investment products
Liquid.Low
Risk / ReturnLow
2-3 years
A fixed 8-percent return per annum + additional return at the end of the project (IRR 20%+)
Borrower
Liquid.Low
Risk / ReturnHigh
14.12.2020
Fixed
Issuer
Investment opportunities less than a year
Liquid.High
Risk / ReturnLow
Open-ended. Withdrawal by giving 33 Day Notice
Fixed until revised
Bank
Liquid.High
Risk / ReturnLow
12 months
Fixed
Bank
Liquid.High
Risk / ReturnLow
12 months, can be sold anytime
Fixed
Issuer
Liquid.Low
Risk / ReturnHigh
12 months
Fixed
Partner bank
Liquid.Low
Risk / ReturnHigh
12 months
Fixed
Partner bank
Liquid.High
Risk / ReturnLow
Unlimited
Historical, Last 5 years
Financial markets
Investment opportunities 1-3 years
Liquid.High
Risk / ReturnLow
24 months
Fixed
Bank
Liquid.High
Risk / ReturnLow
Recommended term 2-3 years. All positions can be closed within 10 working days
Conservative Historical, Last 5 years
Financial markets
Liquid.High
Risk / ReturnLow
Recommended term 3-4 years. All positions can be closed within 10 working days
Conservative+ Historical, Last 5 years
Financial markets
Liquid.Low
Risk / ReturnHigh
Until 02.2021
Fixed
Borrower
Liquid.Low
Risk / ReturnLow
2-3 years
A fixed 8-percent return per annum + additional return at the end of the project (IRR 20%+)
Borrower
Liquid.Low
Risk / ReturnHigh
24 months
Fixed
Issuer
Liquid.Low
Risk / ReturnHigh
12 months
Fixed
Issuer
Liquid.Low
Risk / ReturnHigh
30.06.2020
Fixed
Issuer
Liquid.Low
Risk / ReturnHigh
21.12.2021
Fixed
Issuer
Liquid.Low
Risk / ReturnHigh
14.12.2020
Fixed
Issuer
Investment opportunities less than 5 years
Liquid.Low
Risk / ReturnHigh
5 years
Fixed
Bank
Liquid.Low
Risk / ReturnHigh
Until 08.2022
After renovation - 3,50% fixed
Borrower
Liquid.High
Risk / ReturnHigh
Recommended term 4-5 years. All positions can be closed within 10 banking days
Balanced Historical, Last 5 years
Financial markets
Liquid.High
Risk / ReturnHigh
Recommended term 5-6 years. All positions can be closed within 10 banking days
Balanced+ Historical, Last 5 years
Financial markets
Investment opportunities more than 5 years
Liquid.High
Risk / ReturnHigh
Recommended term more than 7 years. All positions can be closed within 10 banking days
Aggressive Historical, Last 5 years
Financial markets
Liquid.Low
Risk / ReturnHigh
Until 2026
Target
Investment targets
Liquid.Low
Risk / ReturnHigh
10 years
Target
Investment targets
Liquid.High
Risk / ReturnLow
Unlimited
Historical, Last 5 years
Financial markets
Liquid.High
Risk / ReturnLow
24 months
Fixed
Bank
System of investor protection
Customer of Baltic International Bank who receives brokerage services and individual asset management services is entitled to receive a compensation for irretrievably lost financial instruments, as well as for losses caused by non-executed investment service in circumstances when due to financial condition the Bank may not fulfil its obligations towards the customer to the full extent and in due time. The above shall not be applied to situations when execution of investment services has not taken place during the time of normal operation of the Bank. Customer will receive a compensation of 90 percent from the value of irretrievably lost financial instruments or losses caused by non-executed investment service, but not exceeding 20,000 euro.
Customer Deposit Guarantee System
The customer deposit guarantee system applies to the funds in the customer’s investment account transferred to it within the framework of brokerage services and does not apply to the funds transferred to the managed account within the framework of individual asset management. The guaranteed compensation per one depositor (taking into account other deposits of the customer held with Baltic International Bank) is paid in the amount of the guaranteed deposit but not exceeding EUR 100,000 (all accounts added together, i.e. if the customer has several guaranteed deposits in one bank, all the deposits guaranteed by said bank are summed up and regarded as one guaranteed deposit).
Investment services, including deposits in financial instruments, are associated with risks described in the document Characteristics of Financial Instruments and Related Risks. The above details are of informative nature and should not be regarded as a proposal or recommendation to purchase, hold or sell securities; it is not an investment recommendation, investment research, investment advice or a recommendation to transfer your assets for managing by a certain investment manager. Information was prepared by Baltic International Bank.
Prior to concluding the contract on the provision of investment services with Baltic International Bank, in addition to the respective contract provided to you by your personal banker, please also read the documents listed in this section:
Description of Financial Instruments and Inherent Risks
General Information Concerning an Investment Services Provider and Investment Services
List of Counterparties
Client order execution policy (transactions in financial instruments)
Client categorisation policy related to the provision of investment services and ancillary services
Prevention of conflict of interest policy (with reference to the provision of investment services)
Rules governing brokerage services
Your request was successfully submitted.
Standard products
Participation in co-financing of business projects, which were evaluated by experts of the Bank. A transaction is carried out on the basis of a trust management agreement.
Standard products
Participation in co-financing of business projects, which were evaluated by experts of the Bank. A transaction is carried out on the basis of a trust management agreement.
Standard products
2-3 years
A fixed 8-percent return per annum + additional return at the end of the project (IRR 20%+)
Borrower
Standard products
Alternative products
Corporate bonds issued by private offering. The issue is organized by the Bank or the Bank’s partners.
Alternative products
Corporate bonds issued by private offering. The issue is organized by the Bank or the Bank’s partners.
Alternative products
14.12.2020
Fixed
Issuer
Alternative products
Standard products
On-demand deposits with capitalization of interest and option to withdraw funds if necessary by giving 33-day notice to the Bank.
Standard products
On-demand deposits with capitalization of interest and option to withdraw funds if necessary by giving 33-day notice to the Bank.
Standard products
Open-ended. Withdrawal by giving 33 Day Notice
Fixed until revised
Bank
Standard products
Standard products
Term deposits with term from 3 months up to 3 years in EUR, USD, GBP and other currencies.
Standard products
Term deposits with term from 3 months up to 3 years in EUR, USD, GBP and other currencies.
Standard products
12 months
Fixed
Bank
Standard products
Standard products
Low-risk German, US, United Kingdom, and other countries’ government bonds.
Standard products
Low-risk German, US, United Kingdom, and other countries’ government bonds.
Standard products
12 months, can be sold anytime
Fixed
Issuer
Standard products
Standard products
Fiduciary deposit gives you the opportunity to place your funds in a range of foreign banks without having to open an account in those banks.
Standard products
Fiduciary deposit gives you the opportunity to place your funds in a range of foreign banks without having to open an account in those banks.
Standard products
12 months
Fixed
Partner bank
Standard products
Standard products
Fiduciary deposit gives you the opportunity to place your funds in a range of foreign banks without having to open an account in those banks.
Standard products
Fiduciary deposit gives you the opportunity to place your funds in a range of foreign banks without having to open an account in those banks.
Standard products
12 months
Fixed
Partner bank
Standard products
Standard products
Opening a precious metal account or investment in physical gold (bullions).
Standard products
Opening a precious metal account or investment in physical gold (bullions).
Standard products
Unlimited
Historical, Last 5 years
Financial markets
Standard products
Standard products
Term deposits with term from 3 months up to 3 years in EUR, USD, GBP and other currencies.
Standard products
Term deposits with term from 3 months up to 3 years in EUR, USD, GBP and other currencies.
Standard products
24 months
Fixed
Bank
Standard products
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
Recommended term 2-3 years. All positions can be closed within 10 working days
Conservative Historical, Last 5 years
Financial markets
Standard products
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
Recommended term 3-4 years. All positions can be closed within 10 working days
Conservative+ Historical, Last 5 years
Financial markets
Standard products
Standard products
Participation in co-financing of business projects, which were evaluated by experts of the Bank. A transaction is carried out on the basis of a trust management agreement.
Standard products
Participation in co-financing of business projects, which were evaluated by experts of the Bank. A transaction is carried out on the basis of a trust management agreement.
Standard products
Until 02.2021
Fixed
Borrower
Standard products
Standard products
Participation in co-financing of business projects, which were evaluated by experts of the Bank. A transaction is carried out on the basis of a trust management agreement.
Standard products
Participation in co-financing of business projects, which were evaluated by experts of the Bank. A transaction is carried out on the basis of a trust management agreement.
Standard products
2-3 years
A fixed 8-percent return per annum + additional return at the end of the project (IRR 20%+)
Borrower
Standard products
Alternative products
Corporate bonds issued by private offering. The issue is organized by the Bank or our partners.
Alternative products
Corporate bonds issued by private offering. The issue is organized by the Bank or our partners.
Alternative products
24 months
Fixed
Issuer
Alternative products
Alternative products
Corporate bonds issued by private offering. The issue is organized by the Bank or our partners.
Alternative products
Corporate bonds issued by private offering. The issue is organized by the Bank or our partners.
Alternative products
12 months
Fixed
Issuer
Alternative products
Alternative products
Corporate bonds. Arranged by the Bank or the Bank’s partners.
Alternative products
Corporate bonds. Arranged by the Bank or the Bank’s partners.
Alternative products
30.06.2020
Fixed
Issuer
Alternative products
Alternative products
Corporate bonds. Arranged by the Bank or the Bank’s partners.
Alternative products
Corporate bonds. Arranged by the Bank or the Bank’s partners.
Alternative products
21.12.2021
Fixed
Issuer
Alternative products
Alternative products
Corporate bonds issued by private offering. The issue is organized by the Bank or the Bank’s partners.
Alternative products
Corporate bonds issued by private offering. The issue is organized by the Bank or the Bank’s partners.
Alternative products
14.12.2020
Fixed
Issuer
Alternative products
Standard products
Investment in the Bank's subordinated capital in EUR, USD and GBP for a period of 5 to 7 years.
Standard products
Investment in the Bank's subordinated capital in EUR, USD and GBP for a period of 5 to 7 years.
Standard products
5 years
Fixed
Bank
Standard products
Standard products
Participation in co-financing of business projects, which were evaluated by experts of the Bank. A transaction is carried out on the basis of a trust management agreement.
Standard products
Participation in co-financing of business projects, which were evaluated by experts of the Bank. A transaction is carried out on the basis of a trust management agreement.
Standard products
Until 08.2022
After renovation - 3,50% fixed
Borrower
Standard products
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
Recommended term 4-5 years. All positions can be closed within 10 banking days
Balanced Historical, Last 5 years
Financial markets
Standard products
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
Recommended term 5-6 years. All positions can be closed within 10 banking days
Balanced+ Historical, Last 5 years
Financial markets
Standard products
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
A ready-made portfolio of financial instruments offered by the Bank. Several portfolios providing different combinations of expected risk and return.
Standard products
Recommended term more than 7 years. All positions can be closed within 10 banking days
Aggressive Historical, Last 5 years
Financial markets
Standard products
Alternative products
Investments in a diversified portfolio of alternative investments: private equity, real estate and other.
Alternative products
Investments in a diversified portfolio of alternative investments: private equity, real estate and other.
Alternative products
Until 2026
Target
Investment targets
Alternative products
Alternative products
Investments in a diversified portfolio of alternative investments: private equity, real estate and other.
Alternative products
Investments in a diversified portfolio of alternative investments: private equity, real estate and other.
Alternative products
10 years
Target
Investment targets
Alternative products
Standard products
2-3 years
A fixed 8-percent return per annum + additional return at the end of the project (IRR 20%+)
Borrower
Alternative products
14.12.2020
Fixed
Issuer
Standard products
*This investment product offers guaranteed return. As a rule, guaranteed-income investments carry minimal risks and produce relatively low yields.
Open-ended. Withdrawal by giving 33 Day Notice
Fixed until revised
Bank
Standard products
12 months
Fixed
Bank
Standard products
12 months, can be sold anytime
Fixed
Issuer
Standard products
12 months
Fixed
Partner bank
Standard products
12 months
Fixed
Partner bank
Standard products
Unlimited
Historical, Last 5 years
Financial markets
Standard products
24 months
Fixed
Bank
Standard products
Recommended term 2-3 years. All positions can be closed within 10 working days
Conservative Historical, Last 5 years
Financial markets
Standard products
Recommended term 3-4 years. All positions can be closed within 10 working days
Conservative+ Historical, Last 5 years
Financial markets
Standard products
Until 02.2021
Fixed
Borrower
Standard products
2-3 years
A fixed 8-percent return per annum + additional return at the end of the project (IRR 20%+)
Borrower
Alternative products
24 months
Fixed
Issuer
Alternative products
12 months
Fixed
Issuer
Alternative products
30.06.2020
Fixed
Issuer
Alternative products
21.12.2021
Fixed
Issuer
Alternative products
14.12.2020
Fixed
Issuer
Standard products
5 years
Fixed
Bank
Standard products
Until 08.2022
After renovation - 3,50% fixed
Borrower
Standard products
Recommended term 4-5 years. All positions can be closed within 10 banking days
Balanced Historical, Last 5 years
Financial markets
Standard products
Recommended term 5-6 years. All positions can be closed within 10 banking days
Balanced+ Historical, Last 5 years
Financial markets
Standard products
Recommended term more than 7 years. All positions can be closed within 10 banking days
Aggressive Historical, Last 5 years
Financial markets
Alternative products
Until 2026
Target
Investment targets
Alternative products
10 years
Target
Investment targets
Total investment volume:
EUR
USD
GBP
First year’s expected gross yield
EUR
USD
GBP