01 — The starting pointYour asset.Project · Portfolio · Cash flow
02 — The frameworkYour structure.Issuer · Compartment · Terms
03 — The potential outcomeYour security.Note · Bond · Programme
The route is assessed for each transaction.
01 — Understand the opportunitySomething real.
Something to build on.
An income-producing property. An infrastructure project. A loan book. It starts with what you have, what you want to finance, and the investors you intend to reach.
- Single assets and portfolios
- Loans, receivables and cash flows
- Real estate and infrastructure
02 — Assess the structureThe architecture
behind the ambition.
We assess a possible Luxembourg issuer and compartment route, map the documentation and coordinate the specialist workstreams required for your case.
The issuer, providers and terms are selected and confirmed for each transaction. Your own issuer can also be assessed where relevant.
03 — Coordinate the next stepsA clear path.
A coordinated process.
If the Review supports proceeding and you approve a mandate, we coordinate the agreed route towards issuance — from documentation to provider workstreams and ongoing servicing.
One transaction or a repeat programme. Conventional securities, with digital issuance considered separately where appropriate.
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