FAQ

Here you’ll find practical answers about structure, operations, returns, and buyback. The information is for educational purposes and is not an offer or investment advice

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About us

We are a global team of agribusiness, land‑development and investment professionals. With 25+ years of senior experience across 7+ countries, we turn prime but underdeveloped arable land into high‑performance agricultural clusters and a standardised investment product. Our mission is to create a liquid global market for arable land and contribute to long‑term food security.

Why we are different

We’re building a liquid, standardized market for arable land and a product that pays in agricultural output. We don’t just source land — we develop full agro-clusters, operate them with first-class teams, and package returns so they’re predictable and tradable

Our Approach

PrimeLand Global creates a new class of financial instrument, backed by agricultural clusters. By combining our Agri Land Development (ALD) strategy with the AgriRent model, we deliver security, profitability, and liquidity to asset holders. This approach is based on building productive clusters, operated by first-class teams and modern machinery, with returns structured in agricultural output and indexed for stability

FAQ

Frequently Asked Questions

Unlike traditional REITs, which mainly invest in existing real estate and depend on market cycles, PrimeLand Global creates a new class of financial instrument backed by agricultural clusters. Our model combines direct ownership of productive farmland with the AgriRent system, ensuring returns are secured by real assets and indexed in agricultural output, rather than exposed to real estate or stock market volatility.

The investor does not bear risks. Payments are guaranteed by the land itself and the agricultural products it generates.
In addition, the fund does not invest in stocks or other high-risk financial instruments, which eliminates exposure to market fluctuations.

Share redemptions will be carried out on a quarterly basis.

The share value will be calculated based on NAV (Net Asset Value) / number of shares.
NAV is determined as the value of all owned assets minus liabilities.

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