We will grow your investments through development projects in the Czech Republic and Spain

Our fund combines strategic investments with residential development projects. We offer investors stability, transparency, and a well-thought-out strategy. Thanks to this fund, you can invest in modern, sought-after projects in the Czech Republic and Spain with high returns and minimal risk.
Vivinvest fund in numbers
We follow a simple and functional strategy — we value investors' funds through fixed-rate loans. We use them mainly to finance our own development projects, which we know well, and where we control the entire investment cycle.
6.5%
p.a.
Minimum return guarantee RIA
even in the event of lower profit or loss
1,000,000
CZK
Minimum investment
subject to legal conditions
0%
taxation for individuals
Individual investments in the fund are exempt from income tax after meeting the 3-year tax test, giving a significant advantage over alternative investment vehicles.
9.9%
p.a.
Growth Investment Shares (RIAs) potential yield
Growth Investment Shares (RIAs) yield between 6.5% and 9.9% p.a.
Solid base for your investments
Guarantee of a minimum return on RIA shares of 6.5% p. a., and even in case of lower profit or even loss of the fund. The guarantee is a form of redistribution of fund capital from holders of performance shares in for the benefit of holders of growth investment shares, up to the amount of that fund capital attributable to growth investment stocks.
Each Qualified Investor Fund in the legal form of SICAV is subject to supervision by the Czech National Bank. The Czech National Bank supervises the activities of the fund, the investment company and the depositary bank and requires regular reports on the fund’s management.
AVANT investment company, a.s.
Managing the assets of the fund in accordance with the statute of the fund and in accordance with the law on investment companies and investment funds (ZISIF), acting on its behalf, signs for fund contract, fulfilling the obligations of the fund to the state administration (accounting, tax), CNB (monthly reporting of financial statements, information about changes) and depositary bank. The Investment Company shall inform the shareholders of the fund of the value of the investment share, issue Investment Shares and maintain a list of shareholders.
AVANT investment company, a.s.
The statutory body of the fund elected by the general meeting of the fund on the basis of the statutes, whose members are registered in the commercial register.
PFK APOGEO Audit, s.r.o., Rohanské nábřeží 671/15, Karlín, 186 00, Prague 8.
Tel: 271 07 310

Activities in relation to the fund:
a) verification of the Financial Statements of the Fund pursuant to KSIF 187;
b) an opinion on the consistency of the fund's annual report with its financial statements pursuant to KSIF 292.
CYPRUS, a.s.
Veveří 3163/111, Žabovřesky, 616 00, Brno.
Reg: 639 07 020

Activities in relation to the fund:
a) has custody of the assets of the fund, if its nature allows;
b) establishes and maintains cash accounts and records the movements of all funds belonging to the assets of the fund;
c) register, if its nature permits, other assets of the fund than those referred to in subparagraphs a) and b).
INVESTMENT FUND
9,9%
per annum
Recommended investment horizon — 3 years
Minimum investment amount — 1 000 000 CZK
Your investment is in the hands of experts with top credentials and results.
The guaranteed minimum RIA return is 6.5% per annum.
INDIVIDUAL INVESTMENTS
from
9%
per annum
Recommended investment horizon — 3 years
Minimum investment amount — 10 000 000 CZK
We will prepare a tailor-made investment plan for you and set individual terms and conditions that match your investment goals.
Vivinvest fund documents
2023
2023
2024
2024
2025
2025
Structure of the fund
Invest with us
The investment company AVANT, i.s. is a fund manager for qualified investors in accordance with Act No.240/2013 Coll. on Investment Companies and Investment Funds and its shareholder or partner may become a qualified investor pursuant to Section 272 of this Act.

The Manager warns investors that the value of investments in the Fund may go down as well as up and the return of the amount originally invested is not guaranteed. The historical performance of the Fund does not guarantee the same or better performance in the future. Investments in the Fund are intended to generate returns over the medium to long term and are therefore not suitable for short-term speculation. In particular, potential investors should consider the specific risks that may arise from the achievement of the Fund’s investment objectives as set out in its constitution. The investment objectives are reflected in the recommended investment horizon and the fees and expenses of the Fund.

Details include the Fund’s Rules and Key Investor Information Document (KID). The Fund’s KID is available at http://www.avantfunds.cz/informacni-povinnost. You may refer to the information obtained in paper form at the registered office of AVANT Investment Company, acting, CITY TOWER, Hvězdova 1716/2b, 140 00 Prague 4 — Nusle.

Further important information for investors at: www.avantfunds.cz/cz/dulezite-informace/.

This information is for information purposes only and does not constitute an offer to conclude a contract or a public offer in accordance with the provisions of the Civil Code.
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© 2025 Vivinvest
Vivinvest fund SICAV, a.s., Company ID: 19 647 379, B 28 339 registered with the Municipal Court in Prague
Address
Office in the Czech Republic
Vivinvest fund SICAV, a.s.
Anděl Park Smíchov
Karla Engliše 3201/6, Entrance A, 5th floor, Prague 5, ZIP Code 150 00