We offer situation-specific credit solution to support long-term growth
Flexible liquidity options that support your operating activities to make sure your business is well capitalized.
Improve payment terms, strengthen supplier relationships and ensure inventory sufficiency across global and domestic supply networks.
Non-dilutive and scalable structures secured by operating assets and intangibles.
Intangible value liens that are layered into a senior facility.
Providing dry powder to lenders in the specialty finance space to help them grow their lending capacity.
Special structures for technology-enabled companies with a Monthly Recurring Revenue (MRR) aspect.
Ticket size: $5M–$75M (larger via club or syndication)
Tenor: 12–60 months with extension options
Security: First or Second‑priority senior‑secured lien on all assets or specified collateral
Pricing: Floating (SOFR‑based) or fixed with step‑ups/downs vs. performance
Reporting: Monthly borrowing base on operational assets
Geography: G7 markets; cross‑border structures available
Our origination efforts for credit investments do not focus on a particular industry but rather emphasize collateral strength, cashflow predictability, and a resilient operation.