What We Do
Tailored Capital Deployment
Our Capital Placement business delivers structured investment solutions tailored to the capital investment objectives of our clients. This includes senior and mezzanine debt, preferred and ordinary equity, and joint-venture financial instruments.
Example deployments include:
- Acquisition bridge loans
- Ground-up development finance
- Recapitalisation
- Emergency funding
- Non-performing loans (NPLs)
- Equity release
- Secured corporate lending
Opportunities are sourced through our trusted network of borrowers, developers, land promoters, agents, and introducers. We structure transactions to align client placement needs with the mandates of our HNWIs, family offices, unlisted funds, and wealth managers — creating mutually beneficial outcomes across the capital spectrum.
Raising Capital
£1bn+ in Capital Placement Experience
Our team has funded diverse projects across residential, hospitality, retail, and co-living sectors, spanning multiple continents. With over 40 years of combined real estate expertise, we deliver results for developers, funds, and investors.
Selected Transactions:
UK real estate debt fund (2024)
Capital Placed: £100m+ in commitments
Investor Types: US–UK hedge fund, UK fund allocator, family offices
UK private debt fund (2024)
Capital Placed: £45m+ committed
Investor Types: HNWIs, family offices
Special situations fund (2021-2024)
Capital Placed: £105m invested
Investor Types: Family offices, wealth managers
UK real estate debt fund (2019-2020)
Capital Placed: £162m invested
Investor Types: HNWIs, family offices, debt funds
Client
UK real estate debt fund (2024)
UK private debt fund (2024)
Special situations fund (2021-2024)
UK real estate debt fund (2019-2020)
Capital Placed
£100m+ in commitments
£45m+ committed
£105m invested
£162m invested
Investor Types
US–UK hedge fund, UK fund allocator, family offices
HNWIs, family offices
Family offices, wealth managers
HNWIs, family offices, debt funds
We understand our investors, their capital, and their desired outcomes — our long-term relationships and hands-on execution inform every transaction we place.
Workflow
From Origination to Exit
We follow a clear, step-by-step approach to match investment opportunities with the right capital partners. From origination to exit, each stage is designed to ensure alignment, transparency, and execution excellence.
Origination
Source opportunities from trusted borrowers, developers, and introducers.
Initial Match
Assess investor fit and present suitable deals for initial review.
Indicative Terms
If interest is confirmed, issue indicative terms and begin underwriting.
Structuring & Deployment
Complete due diligence and legal documentation. Deploy funds directly or via agent/fund structure.
Monitoring & Exit
Actively monitor performance through to exit via sale or refinance.

Investment Framework
What Guides Our Strategy
We work within a clearly defined investment framework to ensure strategic fit and execution quality:
01
Investment Term
From short-term bridging to long-term land promotion or JV transactions
02
Security
1st, 2nd, equitable charge, corporate or personal guarantees (PGs)
03
Ticket Size
Defined minimums and maximums per investor/product
04
Use Class
Residential, Industrial, Logistics, Energy Storage, Commercial, Data Centres, Life Sciences, Student, Coliving, Land
05
Product Type
Debt, equity, or hybrid
06
Jurisdiction
UK, Europe, United States, Middle East
07
Location Drivers
Demographics, infrastructure, regeneration, connectivity, supply pipeline, demand fundamentals, gentrifications
08
Return Profile
Bullet or serviced
09
Exit Strategy
Refinance or subject disposal