Bullion Reserve Corporation, LLC has developed an advanced multi-manager investing process imitated by many but duplicated by none. The result is a comprehensive approach that delivers tailored investment programs aimed at building and preserving wealth for all types of investors.

Bullion Reserve Corporation, LLC is a leading global provider of retirement and Manager of Manager investment solutions designed to help our clients meet financial objectives, reduce business risk, and fulfill their due diligence requirements.

Our competitive advantage lies in continuous, in-depth investment manager research and extensive knowledge of financial markets. With 500 associates in offices throughout Europe, North America, and the Asia/Pacific region, we have impact on the investment management and Private Placement industry in every region our clients and shareholders call home.

Bullion Reserve Corporation, LLC is a world-class company that invests in viable and profitable entities. Its prudent use of capital and sound management skills enables Bullion Reserve Corporation, LLC to establish, acquire, or strategically participate in successful corporate ventures throughout the world. Our clients include prominent domestic and foreign funds and large multinational companies. Providing good service means taking the time to listen. We will work with you every step of the way to make sure you receive the services you need. Our business is client-oriented, and we maintain strict confidentiality. Our investment team has over 100 combined years of investment experience.


Offshore Tax Advantages and Securities regulations:

Due to unpleasant changes in legislation or tax policy in some offshore havens we no longer recommend and offer corporations and banking in the following jurisdictions: Cayman Islands, Switzerland and The Bahamas. Our professionals are carefully and continuously analyzing available offshore tax havens and have selected those which offer the best programs and opportunities from our clients. Registered public offerings and stock exchange listings by non-U.S. issuers in the United States of ordinary shares or American Depositary Shares, including offerings involving dual stock exchange listings representation of issuers, underwriters and placement agents in connection with offshore offerings under Regulation S, including Regulation S offerings of equity or debt undertaken concurrently with private offerings in the United States under Rule 144 A representation of Canadian issuers and underwriters in cross-border offerings under the multi-jurisdictional disclosure system establishment of offshore investment funds and offerings of interests by such funds to U.S. and non-U.S. investors.

We also provide legal advice on a range of issues arising under the U.S. securities laws by virtue of our company’s offshore capital markets activities, including spin-offs, rights offerings, exchange offers, vendor placing, tender offers, scrip dividend programs and stock repurchase programs. As part of our ongoing corporate representations, we provide counsel to U.S. and non-U.S. companies on their SEC reporting obligations and other corporate governance matters. As part of our practice in this area, we: review periodic reports and evaluate companies' disclosure obligations advise on the preparation of proxy statements for annual meetings as well as for special meetings, including those held to consider business combinations advise boards of directors and audit committees on their obligations under SEC regulations and stock exchange rules prepare or review internal corporate policies on general obligations of public companies, disclosure controls and procedures, corporate communications, corporate governance, securities trading, document retention, and dealing with financial analysts advise on the securities law implications of stock-based employee compensation plans, employee stock purchase plans, dividend reinvestment plans, and stock repurchase programs and self-tender offers.

We frequently advise officers, directors and significant shareholders of public companies in the United States and abroad concerning their obligations under the U.S. securities laws and the trading in securities of the companies with which they are affiliated. We also represent these clients in their capacity as selling shareholders in initial public offerings and secondary offerings, and advise shareholders of target companies as to their rights following acquisitions in which they receive stock of U.S. acquires



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