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Real Estate Investment
      with Suvis

 We are not just another real estate company, we help you
         maximize return on investment
Content
Current USA Real Estate Market
Why invest with Suvis
Business Models
  Overview of the models
  Detail information
Our Contact Information
Content
Current USA Real Estate Market
Why invest with Suvis
Business Models
  Overview of the models
  Detail information
Our Contact Information
Why Invest in USA
    Based on AFIRE 2008 Global Real Estate Study, USA continue
    to be the BEST country to invest in.

Countries provide the best opportunity for Capital Appreciation
         1.   USA (37% vote)
         2.   Brazil (16% vote)
         3.   China
         4.   U.K.


Countries providing the most stable and secure real estate investments
         1.   USA (56% vote)
         2.   Germany & Switzerland (11.3% vote)
         3.   Australia & Canada (4.8% vote)
USA Investment Opportunity
                                             Better than EVER
                                           House Price Index of USA Major Cities

                   350

                                                 A lot of undervalued houses in the market.
                   300
                                                 IT IS TIME TO INVEST

                   250                                                                                      San Diego
                                                                                                            Chicago
Home Price Index




                                                                                                            Phoenix
                   200                                                                                      Las Vegas
                                                                                                            Seattle
                                                                                                            San Francisco
                   150



                   100



                    50



                     0
                     1976   1979   1982   1985   1988   1991      1994   1997   2000   2003   2006   2009
                                                           Year
More CA Real Estate Data
               $300,000


               $250,000


               $200,000
Median Price




               $150,000


               $100,000


                $50,000


                    $0
                      1965   1970   1975   1980   1985   1990   1995   2000   2005
                                                  Year




•7.5% CAGR from 1968 to 1999
•Using 30 year CAGR: median price in 2008 should be $418k
•Median Price 2008 = $350k
•Good Time to Buy!
Where, When, & How to Invest?
                             Depreciation Rate in the Past 12 Months
                                                                       Depreciation Rate


                   0%
            D      -2%
            e
            p      -4%
            r
                   -6%
            e   R
            c   a -8%
            i   t
            a   e -10%
            t
                  -12%
            i
            o     -14%
            n
                  -16%

                  -18%
                          San    Chicago Phoenix Seattle     Miami      Las
                         Diego                                         Vegas
              P
       AN HEL                                 Location

WE C
         Suvis has done the analysis to maximize
                your return on investment
Content
Current USA Real Estate Market
Why invest with Suvis
Business Models
  Overview of the models
  Detail information
Our Contact Information
Suvis=Max (ROI)
       Regular Real Estate                            Suvis
          companies                       Property Investment Company

- Main business model is to buy and     - Business model: help clients to invest
  sell properties.                        properties.
- Show properties in any city           - We find great undervalued
     -They are paid on purchase price     INVESTMENT properties
- Service ends at house closing         - House closing is the only the beginning
- It is up to the clients on what to      of our business
  do with the property after            - We help you to manage the property
  purchase                              - We are investors. We will help you
- They are not investors                  to select your property like how we
                                          pick our own
Key Property Metrics
 LOCATION!! LOCATION!!
 Rent to Own Ratio
 Neighborhood
 Demographics
 Clientele Source
 Return on Investment
 Renovation Cost




Suvis will do all the research required to ensure
                     your ROI
Recent Purchases
              Prop #1   Prop #2   Prop #3

Purchase Date Nov 08    May 09    Jul 09

Purchase Price 100k     70.5k     112k

Value Today* 127k       80k       132k

Return        27%       14%       18%

*Zillow.com
Suvis Returns Using Historical
            Data                                                                                  Gain vs Time

                                      160%

                                      140%

                                      120%


                 Gain after 5 years
                                      100%                                                                                                                                                                             Average = 54%
                                      80%                                                                                                                                                                              Return
                                      60%
                                      40%

                                      20%

                                       0%
                                             1975 Q1
                                                       1976 Q4
                                                                 1978 Q3
                                                                           1980 Q2
                                                                                     1982 Q1
                                                                                               1983 Q4
                                                                                                         1985 Q3
                                                                                                                   1987 Q2
                                                                                                                             1989 Q1
                                                                                                                                       1990 Q4
                                                                                                                                                 1992 Q3
                                                                                                                                                           1994 Q2
                                                                                                                                                                     1996 Q1
                                                                                                                                                                               1997 Q4
                                                                                                                                                                                         1999 Q3
                                                                                                                                                                                                   2001 Q2
                                                                                                                                                                                                             2003 Q1
                                                                                                             Qtr of investment




 Payout model is applied to historical data to determine gain in past 28 years.
 X-axis shows quarter of initial investment
 Y-axis shows cumulative gain after 5 years
 Last data point assumes your initial investment in Q1 2004 and cashing out in
 Q1 2009: 16% return over 5 years. – EVEN IN A DOWN MARKET!!!!
Comparison to Dow/Nasdaq
           Calculated 5-year return for a portfolio
                                                                                        5-Year Dow                            Nasdaq            Suvis
           containing Dow and Nasdaq
           components (index investing).                                                Returns
           Calculated 5-year return based on                                            Average 64%                           84%               54%
           housing index and payout according to
                                                                                        Median             57%                77%               49%
           Suvis’ model.
                                                                                        St Dev             54%                81%               36%
           Suvis offers portfolio with
           higher Sharpe Ratio* than                                                    Sharpe             0.83               0.81              0.99
                                                                                        Ratio
           the Dow & Nasdaq
           portfolio using data from
           the past 30+ years

*A ratio developed by Nobel laureate William F. Sharpe to measure risk-adjusted performance. The Sharpe ratio is calculated by subtracting the risk-free rate -
such as that of the 10-year U.S. Treasury bond - from the rate of return for a portfolio and dividing the result by the standard deviation of the portfolio returns.
The Sharpe ratio tells us whether a portfolio's returns are due to smart investment decisions or a result of excess risk. This measurement is very useful because
although one portfolio or fund can reap higher returns than its peers, it is only a good investment if those higher returns do not come with too much additional
risk. The greater a portfolio's Sharpe ratio, the better its risk-adjusted performance has been.
Content
Current USA Real Estate Market
Why invest with Suvis
Business Models
  Overview of the models
  Detail information
Our Contact Information
Business Models

you PURCHASE the property                   partner with us
  we MANAGE it for you                     we INVEST for you
We do all the
                                                          Worry-free
   work             Worry-free                        investment for you
                investment for you
 We do the                           We do all the
 research          You pick             work             You invest
                  and invest
                                         We
                                     buy/manage
                                      properties         You CA$H
   We                                                    out after 5
  manage          You collect                              years
                   the check
Which Business Models is for you?
  you PURCHASE the property              partner with us
    we MANAGE it for you               we INVEST for you
                                Like to take advantage of the
Have enough cash to outright
                                market, but doesn’t have enough
purchase the individual
                                cash to outright purchase
properties
                                properties
Like to be involved in the
                                Like to minimize investment risk,
property selection process
                                and receive guaranteed returns
Like to keep the property for
                                Does not want to be bothered
personal use in long term
                                with the details, just want to see
                                the investment returns after 5
                                years.
youPurchase/weManage Model



        You tell us what type
                                We will do the
        of property you are
                                research and find the    *Travel to USA to
        interested to invest    perfect match for        see the property
                                you




You sit back and
relax and collect the
money every month

                                                        We will manage the
                                                        property for you
Investment Model



         Your Investment via                Suvis Buys   Suvis Rents /
         Suvis                              Property     Manages Property




Investors cash
out in 5 years
                               Suvis Sells Property      Property Value
                                                            Increase
Investment Payout Model



Return at fixed interest rate over     Returns tie to real estate median
5 years                                price index
    Determine at time of investment    10% as fees
    Depends on interest rate at time       For property selling fee
    of investment
                                           No gain, no fee




      You are paid at the higher of the two scenarios
Investment Payout Model - Example
        2009                                                   2014
                             5 years later



Median Home Prices = $100k                            Median Home Prices = $150k*
                                                      *7.5% growth / year



   Interest Rate = 3%


Investment on 1/1/09                          Payout Calculation in 2014

                                 •$5k at 3% per year over 5    •50% increase in median
                                 years                         price – 10% fee = 40%
                                 •$5k x (1.03)5 = $5797        •$5k x 140% = $7000
       $5000
                                  Since Scenario 2 pays higher, you will be paid
                                                  $7k on 1/1/14
Why Invest via Suvis?

No expense ratio based on         Management team with large
investment value                  equity stake
   Incentive alignment               “Skin in the Game”
   We are paid only if you gain   Experience
   Mutual fund mgrs are paid         Over 6 years in real estate
   regardless of your loss               Arizona, Texas, California,
                                         and Illinois
Guaranteed Returns
                                     Combine 30+ Years of
   No downside risk
                                     experience
                                  All founders with graduate
                                  degree
                                     MBA, MS
Contact Info
Web: www.suvisllc.com
Email: info@suvisllc.com
Phone: +1 773-930-4313
THANK YOU

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Suvis LLC

  • 1. Real Estate Investment with Suvis We are not just another real estate company, we help you maximize return on investment
  • 2. Content Current USA Real Estate Market Why invest with Suvis Business Models Overview of the models Detail information Our Contact Information
  • 3. Content Current USA Real Estate Market Why invest with Suvis Business Models Overview of the models Detail information Our Contact Information
  • 4. Why Invest in USA Based on AFIRE 2008 Global Real Estate Study, USA continue to be the BEST country to invest in. Countries provide the best opportunity for Capital Appreciation 1. USA (37% vote) 2. Brazil (16% vote) 3. China 4. U.K. Countries providing the most stable and secure real estate investments 1. USA (56% vote) 2. Germany & Switzerland (11.3% vote) 3. Australia & Canada (4.8% vote)
  • 5. USA Investment Opportunity Better than EVER House Price Index of USA Major Cities 350 A lot of undervalued houses in the market. 300 IT IS TIME TO INVEST 250 San Diego Chicago Home Price Index Phoenix 200 Las Vegas Seattle San Francisco 150 100 50 0 1976 1979 1982 1985 1988 1991 1994 1997 2000 2003 2006 2009 Year
  • 6. More CA Real Estate Data $300,000 $250,000 $200,000 Median Price $150,000 $100,000 $50,000 $0 1965 1970 1975 1980 1985 1990 1995 2000 2005 Year •7.5% CAGR from 1968 to 1999 •Using 30 year CAGR: median price in 2008 should be $418k •Median Price 2008 = $350k •Good Time to Buy!
  • 7. Where, When, & How to Invest? Depreciation Rate in the Past 12 Months Depreciation Rate 0% D -2% e p -4% r -6% e R c a -8% i t a e -10% t -12% i o -14% n -16% -18% San Chicago Phoenix Seattle Miami Las Diego Vegas P AN HEL Location WE C Suvis has done the analysis to maximize your return on investment
  • 8. Content Current USA Real Estate Market Why invest with Suvis Business Models Overview of the models Detail information Our Contact Information
  • 9. Suvis=Max (ROI) Regular Real Estate Suvis companies Property Investment Company - Main business model is to buy and - Business model: help clients to invest sell properties. properties. - Show properties in any city - We find great undervalued -They are paid on purchase price INVESTMENT properties - Service ends at house closing - House closing is the only the beginning - It is up to the clients on what to of our business do with the property after - We help you to manage the property purchase - We are investors. We will help you - They are not investors to select your property like how we pick our own
  • 10. Key Property Metrics LOCATION!! LOCATION!! Rent to Own Ratio Neighborhood Demographics Clientele Source Return on Investment Renovation Cost Suvis will do all the research required to ensure your ROI
  • 11. Recent Purchases Prop #1 Prop #2 Prop #3 Purchase Date Nov 08 May 09 Jul 09 Purchase Price 100k 70.5k 112k Value Today* 127k 80k 132k Return 27% 14% 18% *Zillow.com
  • 12. Suvis Returns Using Historical Data Gain vs Time 160% 140% 120% Gain after 5 years 100% Average = 54% 80% Return 60% 40% 20% 0% 1975 Q1 1976 Q4 1978 Q3 1980 Q2 1982 Q1 1983 Q4 1985 Q3 1987 Q2 1989 Q1 1990 Q4 1992 Q3 1994 Q2 1996 Q1 1997 Q4 1999 Q3 2001 Q2 2003 Q1 Qtr of investment Payout model is applied to historical data to determine gain in past 28 years. X-axis shows quarter of initial investment Y-axis shows cumulative gain after 5 years Last data point assumes your initial investment in Q1 2004 and cashing out in Q1 2009: 16% return over 5 years. – EVEN IN A DOWN MARKET!!!!
  • 13. Comparison to Dow/Nasdaq Calculated 5-year return for a portfolio 5-Year Dow Nasdaq Suvis containing Dow and Nasdaq components (index investing). Returns Calculated 5-year return based on Average 64% 84% 54% housing index and payout according to Median 57% 77% 49% Suvis’ model. St Dev 54% 81% 36% Suvis offers portfolio with higher Sharpe Ratio* than Sharpe 0.83 0.81 0.99 Ratio the Dow & Nasdaq portfolio using data from the past 30+ years *A ratio developed by Nobel laureate William F. Sharpe to measure risk-adjusted performance. The Sharpe ratio is calculated by subtracting the risk-free rate - such as that of the 10-year U.S. Treasury bond - from the rate of return for a portfolio and dividing the result by the standard deviation of the portfolio returns. The Sharpe ratio tells us whether a portfolio's returns are due to smart investment decisions or a result of excess risk. This measurement is very useful because although one portfolio or fund can reap higher returns than its peers, it is only a good investment if those higher returns do not come with too much additional risk. The greater a portfolio's Sharpe ratio, the better its risk-adjusted performance has been.
  • 14. Content Current USA Real Estate Market Why invest with Suvis Business Models Overview of the models Detail information Our Contact Information
  • 15. Business Models you PURCHASE the property partner with us we MANAGE it for you we INVEST for you We do all the Worry-free work Worry-free investment for you investment for you We do the We do all the research You pick work You invest and invest We buy/manage properties You CA$H We out after 5 manage You collect years the check
  • 16. Which Business Models is for you? you PURCHASE the property partner with us we MANAGE it for you we INVEST for you Like to take advantage of the Have enough cash to outright market, but doesn’t have enough purchase the individual cash to outright purchase properties properties Like to be involved in the Like to minimize investment risk, property selection process and receive guaranteed returns Like to keep the property for Does not want to be bothered personal use in long term with the details, just want to see the investment returns after 5 years.
  • 17. youPurchase/weManage Model You tell us what type We will do the of property you are research and find the *Travel to USA to interested to invest perfect match for see the property you You sit back and relax and collect the money every month We will manage the property for you
  • 18. Investment Model Your Investment via Suvis Buys Suvis Rents / Suvis Property Manages Property Investors cash out in 5 years Suvis Sells Property Property Value Increase
  • 19. Investment Payout Model Return at fixed interest rate over Returns tie to real estate median 5 years price index Determine at time of investment 10% as fees Depends on interest rate at time For property selling fee of investment No gain, no fee You are paid at the higher of the two scenarios
  • 20. Investment Payout Model - Example 2009 2014 5 years later Median Home Prices = $100k Median Home Prices = $150k* *7.5% growth / year Interest Rate = 3% Investment on 1/1/09 Payout Calculation in 2014 •$5k at 3% per year over 5 •50% increase in median years price – 10% fee = 40% •$5k x (1.03)5 = $5797 •$5k x 140% = $7000 $5000 Since Scenario 2 pays higher, you will be paid $7k on 1/1/14
  • 21. Why Invest via Suvis? No expense ratio based on Management team with large investment value equity stake Incentive alignment “Skin in the Game” We are paid only if you gain Experience Mutual fund mgrs are paid Over 6 years in real estate regardless of your loss Arizona, Texas, California, and Illinois Guaranteed Returns Combine 30+ Years of No downside risk experience All founders with graduate degree MBA, MS
  • 22. Contact Info Web: www.suvisllc.com Email: info@suvisllc.com Phone: +1 773-930-4313