Sophisticated Investor Access
Investment Opportunities
Structured notes, fixed-term deposits, thematic funds, and specialist investment opportunities — curated for sophisticated and high-net-worth investors with access to international markets. Review the declaration below to access current listings.
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Sophisticated & High-Net-Worth Investor Investments
The investment opportunities listed below are intended for sophisticated investors, high-net-worth individuals, and professional clients only. They carry higher risk than mainstream investments, may be illiquid, and are not suitable for all investors. Past performance is not a guide to future performance. Capital is at risk, including the risk of losing all capital invested.
Before viewing these investment opportunities, please confirm that you meet the criteria below.
Index of opportunities
All 60 current investment opportunities
Each opportunity has its own page setting out the structure, terms and risks in full. Minimum investment, target return and term are shown in the filterable listings above once the sophisticated-investor declaration has been confirmed.
Risk warning: These opportunities are intended for sophisticated investors, high-net-worth individuals and professional clients only. They carry significant risk, may be illiquid, and capital is at risk including the risk of losing all capital invested. Nothing on this page is a personal recommendation or an offer to invest.
Global Water Infrastructure & Resource Fund
An AIFMD-regulated fund investing in water treatment, distribution and resource assets across OECD markets, with inflation-linked revenues and a 7-10% net IRR.
Fund · Global · Medium risk · Available
Volatility-Linked Structured Note — Capital at Risk
A structured note giving leveraged participation in falling equity volatility (VIX mean reversion) over three years, with a protection corridor. Capital at risk.
Structured Note · Global · High risk · Available
US Equity Income Fund — Dividend Growth Strategy
An actively managed US equity income fund investing in S&P 500 dividend aristocrats with 25-plus years of consecutive dividend growth, targeting a 3.5-4.5% yield.
Fund · North America · Medium risk · Available
UCITS Absolute Return Multi-Strategy Fund
A UCITS absolute return fund blending six liquid strategies under one daily-liquidity wrapper, targeting a 5-8% net return with lower volatility than equities.
Fund · Global · Medium risk · Available
Short-Term Trade Finance Fund — Trade Receivables
A short-duration open-ended fund financing global trade by buying 30-90 day trade receivables, earning stable floating-rate income with minimal duration risk.
Fund · Global · Medium risk · Available
Tokenised Commercial Real Estate Fund — UK & European Properties
A fund using blockchain tokenisation to fractionalise UK and European commercial real estate, giving each holder a proportional interest and quarterly rental income.
Real Estate · Europe / United Kingdom · Medium risk · Available
Thailand Property Trust — Bangkok & Phuket Condominiums
A trust investing in Bangkok and Phuket condominiums for foreign nationals seeking Thai property exposure and LTR visa eligibility, targeting a 5-7% rental yield.
Real Estate · Asia Pacific / Thailand · Medium-High risk · Available
Technology & AI Growth Fund of Funds
A fund of funds investing in global technology equities across listed NASDAQ and NYSE names and pre-IPO opportunities, targeting a 15-20% IRR over a five-year life.
Fund · Global · High risk · Available
Singapore Prime Office & Logistics REIT
A listed Singapore REIT giving exposure to Grade A office and modern logistics real estate in Singapore's core CBD and logistics hubs, at a 5-6% distribution yield.
Real Estate · Asia Pacific · Medium risk · Available
Global Private Equity Secondaries Fund
Secondary private equity fund acquiring LP stakes and portfolios of mature private equity assets at a discount to NAV — lower J-curve risk than primary PE.
Fund · Global · High risk · Available
Offshore Fixed Term Deposit — USD 12 Month
A fixed-rate USD deposit with a regulated Isle of Man or Channel Islands bank, paying around 3.8% p.a. over a 12-month term for investors seeking capital security.
Fixed Deposit · Offshore (Isle of Man / Channel Islands) · Low risk · Available
Litigation Finance Fund — Legal Claims Portfolio
A specialist fund providing non-recourse capital to claimants and law firms in commercial litigation and arbitration, earning a share of judgements and settlements.
Fund · Global · High risk · Available
Life Settlements & Longevity Fund
A specialist fund acquiring portfolios of secondary-market US life insurance policies from policyholders who choose to sell rather than lapse or surrender.
Fund · North America · Medium-High risk · Available
Global Social Impact Bond Fund — ESG Fixed Income
A UCITS fixed income fund holding social, sustainability-linked, and green bonds from supranational, government, and corporate issuers, yielding 4.5-6.5% a year.
Fund · Global · Low-Medium risk · Available
Greek Golden Visa Property Fund — Athens & Island Locations
A Greek Golden Visa property fund investing in Athens and island real estate at the qualifying threshold, giving EU residency access plus 6-8% annual income.
Real Estate · Europe / Greece · Medium risk · Available
Global High Income Bond Fund
An actively managed UCITS fund investing in diversified global high yield corporate bonds, targeting a 7-9% annual income yield paid in monthly distributions.
Fund · Global · Medium risk · Available
Global Investment Grade Bond Notes — Quarterly Income
A 3-year structured note paying 5.5% per annum in quarterly income, linked to a basket of global investment-grade bonds and issued by an A-rated international bank.
Structured Note · Global · Low-Medium risk · Available
GBP Inflation-Linked Bond Ladder — Index-Linked Gilts
A laddered portfolio of UK Government Index-Linked Gilts whose capital and income both track the Retail Prices Index, preserving real GBP purchasing power over time.
Fixed Deposit · United Kingdom · Low risk · Available
UK Government Bond Portfolio (Short Duration) — GBP
A laddered portfolio of short-duration UK Government gilts with 2-5 year maturities, offering government-backed capital security, GBP liquidity and a 4.3-4.8% yield.
Fixed Deposit · United Kingdom · Low risk · Available
Frontier & Emerging Markets Equity Growth Fund
An opportunistic equity fund in frontier and emerging market companies across Africa, the Middle East, Vietnam and select Andean markets at early-stage valuations.
Fund · Global Emerging Markets · Very High risk · Available
GBP Fixed Term Deposit — 6 Month
A 6-month GBP fixed-rate deposit with an offshore-licensed bank paying a competitive 4.75% p.a. gross, ideal for Sterling investors seeking capital preservation.
Fixed Deposit · United Kingdom · Low risk · Available
European Capital Protected Note — 2-Year
A two-year capital-protected note linked to the EuroStoxx 50 that returns 100% of capital at maturity whatever the market does, with participation in index upside.
Structured Note · Europe · Low risk · Available
Emerging Market Infrastructure Debt Fund
A closed-end fund lending senior and subordinated debt to power, water, toll road, port, and telecom projects across emerging markets, targeting a 9-12% net IRR.
Fund · Global Emerging Markets · Medium-High risk · Available
Emerging Market Hard Currency Bond Fund
A UCITS emerging market bond fund holding USD-denominated government and corporate debt from investment-grade and high-yield issuers, targeting a 7-9% income yield.
Fund · Global Emerging Markets · Medium-High risk · Available
Dubai Short-Let & Serviced Apartment Fund
A Dubai real estate fund investing in serviced apartments and short-let holiday homes, targeting an 8-10% per annum net rental yield from strong tourism demand.
Real Estate · United Arab Emirates · Medium-High risk · Available
Private Equity Co-Investment Programme — Direct Deals
A selective co-investment programme offering direct access to individual private equity buyouts alongside leading sponsors, with no blind-pool risk and lower fees.
Fund · Global · High risk · Available
Carbon Credit Strategy Fund — Compliance & Voluntary Markets
A specialist fund across compliance carbon markets — EU ETS, UK ETS, California and RGGI — and high-integrity voluntary credits, targeting 12-18% net as prices rise.
Fund · Global · High risk · Available
Carbon Credit & ESG Sustainability Fund
A fund investing in carbon credits and sustainability-linked instruments across regulated markets including the EU ETS, UK ETS and California cap-and-trade scheme.
Fund · Global · High risk · Available
5-Year Capital Protected Note — MSCI World Participation
A 5-year GBP note offering 100% capital protection at maturity and up to 75% participation in any rise in the MSCI World Index, issued by an investment-grade bank.
Structured Note · Global · Low-Medium risk · Available
Digital Assets Regulated Fund (Bitcoin & Ethereum)
A regulated fund giving institutional-grade exposure to Bitcoin and Ethereum through an insured custodian, with no private keys, wallets or exchanges to manage.
Crypto · Global · Speculative risk · Available
3-Year Autocall Note — S&P 500 / FTSE 100 / EuroStoxx 50 Basket
A 3-year autocall note on an equally weighted S&P 500, FTSE 100 and EuroStoxx 50 basket, paying 12% p.a. when all three indices hold above their starting levels.
Autocall Note · Global · Medium risk · Available
Asian Private Credit Fund — Direct Lending Across Asia-Pacific
A closed-end private credit fund making senior secured and unitranche loans to mid-market firms across Australia, Singapore, Hong Kong, South Korea, and India.
Fund · Asia-Pacific · Medium-High risk · Available
AI & Technology Thematic Growth Fund
A thematic fund providing diversified exposure to companies driving artificial intelligence, semiconductors, cloud infrastructure, and enterprise software.
Fund · Global · High risk · Available
Global Agricultural & Farmland Fund
A diversified farmland fund acquiring arable, permanent-crop, and irrigated land across the UK, Australia, New Zealand, and North America, targeting a 7-10% net IRR.
Fund · Global · Medium risk · Available
AED Fixed Term Deposit — 12 Month (UAE)
A 12-month AED fixed-term deposit with a UAE-licensed bank, offering up to 4.25% per annum with the AED/USD peg providing dollar currency stability and zero UAE tax.
Fixed Deposit · United Arab Emirates · Low risk · Available
Deep Tech Venture Capital Fund III
An early-stage venture capital fund backing deep technology — AI, quantum computing, biotech and advanced materials — targeting a 3-5x MOIC over eight to ten years.
Fund · Global · Speculative risk · Coming soon
USD Property-Backed Loan Note — 18 Month
A fixed-rate 18-month loan note secured against UK property development assets, paying 9.5% p.a. in quarterly interest with principal repaid as a bullet at maturity.
Loan Note · United Kingdom · Medium-High risk · Available
US Commercial Real Estate Debt Fund — Senior Loans
A closed-end fund originating senior first-mortgage loans on US office, industrial, multifamily, and logistics real estate, targeting a 9-11% net annual return.
Fund · North America · Medium risk · Available
UK Residential Development Lending — Bridging & Mezzanine
A closed-end fund making senior bridging and mezzanine loans to UK residential developers across England and Wales, targeting a 10-14% net IRR with quarterly income.
Fund · UK · High risk · Available
UK Commercial Property REIT-Style Fund
A diversified UK commercial property fund spanning offices, logistics, retail parks, and industrial estates, targeting a 7-10% net total return from rent and growth.
Fund · UK · Medium risk · Available
UAE Residential Development Fund — Dubai
A closed-end fund investing in Dubai and wider UAE residential development over four years, targeting a 12-18% IRR in USD-pegged AED across pre-selected sites.
Real Estate · United Arab Emirates · Medium-High risk · Available
Senior Secured Private Credit Note — European Mid-Market
A senior secured note backed by first-lien loans to European mid-market companies, paying a floating-rate quarterly coupon of 8.5-10.5% p.a. with security packages.
Structured Note · Europe · Medium risk · Available
Renewable Energy Project Bond — European Wind & Solar
A senior secured project bond financing operational wind and solar assets across Europe, secured on power purchase agreements with a 5.5-7.0% p.a. fixed coupon.
bond · Europe · Medium risk · Available
Pre-IPO Growth Companies Fund — Fintech, Biotech & Enterprise Software
A venture capital fund investing in at least 15 pre-IPO companies across fintech, biotech and enterprise software, targeting a 3-5x capital return over seven years.
Fund · Global · Speculative risk · Coming soon
Natural Capital & Sustainable Forestry Fund
A natural capital fund investing in certified sustainable forestry and restoration across the UK, New Zealand and Latin America, blending timber and carbon returns.
Fund · Global · Medium risk · Available
Multi-Strategy Absolute Return Fund — Low Volatility
A multi-strategy hedge fund allocating across six strategies from statistical arbitrage to merger and volatility arbitrage, targeting 8-12% net with low correlation.
Fund · Global · Medium risk · Available
India Infrastructure Growth Fund
A closed-end private equity fund targeting India's infrastructure build-out — roads, renewables and digital assets — over seven years, aiming for a 15-20% IRR.
Fund · Asia Pacific · Medium-High risk · Available
US & European High Yield Bond Fund — USD
An actively managed fund investing in below-investment-grade US and European corporate bonds across 80+ issuers, targeting 7-9% a year via active credit selection.
Fund · Global · Medium-High risk · Available
Green Energy Infrastructure Fund — Wind & Solar
An AIFMD-regulated fund investing in operational European wind and solar assets with inflation-linked revenue contracts, targeting an 8-10% net IRR over ten years.
Fund · Europe · Medium risk · Available
Global Macro Absolute Return Fund
A discretionary global macro fund targeting absolute returns across interest rates, currencies, equities and commodities, with low correlation to traditional assets.
Fund · Global · High risk · Available
Global Equity Market-Neutral Hedge Fund
A global equity market-neutral fund pairing long undervalued stocks against short overvalued peers for near-zero market beta, targeting a 6-10% net return per year.
Fund · Global · Medium risk · Available
Global Convertible Bond Fund — Balanced Growth
An open-ended UCITS fund holding global convertible bonds that blend bond-like downside protection with equity upside, targeting a 6-9% total return each year.
Fund · Global · Medium risk · Available
Autocall Note — Major US Equity Index Basket
An autocall structured note linked to major US equity indices, paying a 10.5% p.a. conditional coupon with a capital protection barrier and early redemption.
Autocall Note · Global / USA · Medium-High risk · Available
GCC & Middle East Real Estate Fund
A closed-end real estate fund targeting Gulf residential and commercial property — Dubai, Abu Dhabi and Riyadh — aiming for a 10-14% net IRR from yield and growth.
Fund · Middle East · Medium-High risk · Available
European Private Credit Fund — Senior Secured SME Lending
A direct lending fund making senior secured loans to European SMEs across a portfolio of 50+ positions, targeting a 9-12% p.a. blended return paid quarterly.
Fund · Europe · Medium risk · Available
European Mid-Market Buyout Fund
A European mid-market buyout fund taking control stakes in profitable companies with 10-50 million euro EBITDA across business services, healthcare and software.
Fund · Europe · High risk · Available
EUR Investment Grade Corporate Bond Portfolio — 3 Year
A curated portfolio of 12-15 EUR investment grade corporate bonds targeting a 4.2% annual coupon over three years, with capital returned in full at maturity.
Fixed Deposit · Europe · Low risk · Available
Digital Infrastructure Fund — Data Centres & Fibre
A closed-end fund investing in European data centre campuses and fibre networks — essential AI-economy infrastructure with contracted, inflation-linked revenues.
Fund · Europe · Medium risk · Available
CLO Mezzanine & Equity Tranche Fund
A fund investing in mezzanine and equity tranches of Collateralised Loan Obligations backed by pools of corporate leveraged loans, targeting a 12-18% net IRR in USD.
Fund · Global · High risk · Available
Asia-Pacific Growth Equity Fund — ex-China
An actively managed fund holding listed growth companies across India, Japan, South Korea, ASEAN, and Australia, with no China exposure and a 12-18% gross target.
Fund · Asia-Pacific · High risk · Available
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