USA & International Commercial Finance Brokers
  _________________________________________________
   
  Christchurch, New Zealand.  Ph +64 33847100   

  Credit Lines can be arranged against most types of quality financial instruments.

  Note - Credit Line Release % age depends on Market Value of the Instrument.

 This table is subject to change at any time without notice.  Max Percentage is an indicator
  and is not a guarantee of maximum loan amount that will be offered ( if any at all ).

 The OLC Charges a 1% fee payable on arrangement of a Credit Line Facility.

 Security Types  Max Percentage of
Market Value
 Equities (including ADRs) 70%
 Preferred Equities 70%
 Preferred Bonds 95%
 Municipal Bonds 95%
 Corporate Bonds 95%
 USA Treasuries & Agencies less than 12 months to maturity 97%
 USA Treasuries & Agencies 12 months to 3 years to maturity 96%
 USA Treasuries & Agencies 3 to 5 years to maturity 95%
 USA Treasuries & Agencies 5 to 7 years to maturity 94%
 USA Treasuries & Agencies 7 to 10 years to maturity 93%
 USA Treasuries & Agencies over 10 years to maturity 85%
 Mutual Funds - Bonds 90%
 Mutual Funds - Balanced & Convertible 80%
 Mutual Funds - Real Estate 80%
 Mutual Funds - Equity 70%
 USA Money Market 97%
 Unit Investment Trusts 70%
 Linked Notes - Daily Accrual Fixed Income 95%
 Linked Notes - Fixed Income less than 10 years to maturity 80%
 Linked Notes - Fixed Income over 10 years to maturity 70%
 Linked Notes - Equity 70%
 Linked Notes - Leveraged or Kick In Product 50%
 Puerto Rico CMO's & Agencies less than 12 months to maturity 97%
 Puerto Rico CMO's & Agencies 12 months to 3 years to maturity 96%
 Puerto Rico CMO's & Agencies over 3 years to maturity 90%
 Listed Convertible Bonds - Out of the money 95%
 Listed Convertible Bonds - In the money 70%
 Commercial Paper 90%
 Certificates of Deposit 90%
 Global Time Deposits 90%

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