Variable Capital Company (VCC) Structure

A regulated fund framework designed for long-term, institutional private credit strategies.

Our Variable Capital Company (VCC) structure offers investors a regulated, institutional-grade vehicle for private credit. Designed for transparency and scalability, the VCC utilizes segregated sub-funds to ensure robust governance and precise capital deployment.

Expected Net Yield

~7.5% – 8.5% p.a.*

Minimum Time Invested

No minimum

Minimum Ticket

USD 500,000

Overview:

Institutional Stability. Consistent Income.

Secure steady returns with a focus on capital preservation. This strategy leverages conservative underwriting and diversified exposures for a lower-volatility profile.

Suitable For:

  • Income Seekers: Investors prioritizing steady yield and lower market volatility.

  • Capital Allocators: Long-term investors seeking consistent, risk-adjusted growth.

  • Sophisticated Profiles: Ideal for Institutional, Family Office, and Conservative portfolios.

Net yields are after management fees and applicable service costs.

Recommended minimum holding period is 3 months due to average trade finance maturity.

Key Terms

Expected Net Yield (USD):

~7.5% – 8.5% p.a.

Minimum Investment Ticket:

USD 500,000

Fund Structure:

Open-ended Regulated VCC

Liquidity:

No set term (3-month recommended minimum)

Minimum Time Invested:

No recommended minimum

Currency:

USD

Expected net yields are indicative and are not guaranteed. Actual returns are subject to market conditions and portfolio outcomes.

There is no formal minimum holding period but investors should consider liquidity needs and portfolio context.

Disclaimer:
These key terms are not an exhaustive summary, and you should read the Information Memorandum before deciding to invest.

Expected Net Yield

~11.0% p.a.

Minimum Time Invested

1 Year

Minimum Ticket

USD 500,000

Overview:

Optimized Returns. Advanced Credit Exposure.

Maximize yield through selective exposure to high-growth credit opportunities. An advanced strategy built for sophisticated investors and active portfolio optimization.

Suitable For:

  • Yield Maximizers: Investors targeting double-digit annual returns through private credit.

  • Advanced Portfolios: Sophisticated investors with a defined appetite for optimized credit risk.

  • Strategic Horizons: Portfolios with a longer-term outlook and a focus on active wealth growth.

Net yields are after management fees and applicable service costs.

Key Terms

Expected Net Yield (USD):

~11.0% p.a.

Minimum Investment Ticket:

USD 500,000

Fund Structure:

Regulated VCC with Enhanced Credit Strategies

Minimum Time Invested:

1 Year (Recommended)

Liquidity:

No set term (recommended horizon 1 year)

Fund Size:

Open-ended

Currency:

USD

Expected net yields are indicative and are not guaranteed. Actual performance will vary by portfolio and market conditions

Disclaimer:
These key terms are not an exhaustive summary, and you should read the Information Memorandum before deciding to invest.

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