Our funds - Capital Special Opportunities Fund

3514 Capital Partners have originated and tailored this opportunity, specifically for qualified and institutional investors, aimed at generating high teen returns from investments secured by receivables. The programme is generating significantly higher returns than traditional investment channels such as banking products or traditional bonds which are exposed to similar fundamentals but with the difference of being once or twice removed, and as a result offering higher level of security on principal with more certain returns, especially during periods of in high inflation and market volatility. 

The business of the Special Opportunities Fund is to generate a diversified portfolio receivables to which the fund has direct control of the investment fundamentals, comprised of different investment strategies segregated into investment schemes related to specific Fundamental types. All investments made by the Fund will be in the acquisition or financing of Fundamentals related to highly secured receivables. 

Opportunities will vary across multiple sectors, in particular the Fund will focus on the acquisition and restructuring of discounted Bridged, Non-Performing and Unlikely-To-Pay receivables that are highly secured. Strategies and economic sectors vary, nonetheless the principals of investment are thorough and consistent: high market liquidity, highly collateralised, structured to give expedient access to collateral and in which all parties' interest is strictly aligned to the fund. Schemes are tailored to give bespoke solutions, to banks to structure their bad debt portfolios, bridging well-established medium to large sized pan European companies with guaranteed income, solutions bespoke to acquisition of receivables in the US and European market for the sales of digital content, and financing the acquisition of aircraft backed by receivables from prestigious international entities with certain exits. 

This bespoke multi-faceted investment strategy, based on sound investment principals, provides a stabilised mixed profile of risk and return based on global market trends, security in terms of liquidity in recovering invested capital, and returns projected above the market average.