About what we do
ron-whitaker-622735-unsplash.jpg

 Structuring

Stagshead Distribution works closely with companies that have good assets and a strong cash flow, who are looking to raise capital through listed debt. Together with our regulated partners, our clients have the option of a cost-effective, tailor-made single or multi-issuance debt programme.

We assist our clients with both Primary and Secondary Markets. We enable our clients to market the security and raise capital through our global distribution network.

The team at Stagshead Distribution has spent over ten years cultivating strong relationships with international Family Offices, PE Placement Agents, Fund Managers, DFMs, IFAs, Wealth Managers, and Stock Brokers the team has created a unique process for raising capital.

Stagshead_Distribution_patternB.png

Advice

Fixed income secured bonds: design

Senior Secured
Deliver robust returns
Asset-backed
Rated agency
Listed on a recognised stock exchange
Replace with Freely transferable securities
Available on various investment/life platforms

Fixed income secured bonds: benefits

Access to capital through our global distribution network
Various assets that can be used as security
Fixed and predictable pay-off with cash flow management benefits
Flexible options, single or multiple projects with the opportunity to tap the market
A choice of international stock exchanges
Life & Investment platform listing options
Non-diluting capital

Distribution

Stagshead Distribution offers third-party investment product distribution. We source high-quality Listed bonds and other Standard Assets. We also offer access to unique Venture Capital and Private Equity opportunities for our esteemed global network of Offshore and Regulated Intermediaries. 

Our aim is to become one of the markets leading Investment Distribution Companies to regulated markets. We will achieve this by continuing to source the highest quality investments through extensive market research by our global business development teams. Operating as a Product Provider for regulated entities such as Independent Financial Advisers (IFAs), Wealth Managers, DFMs, and Fund Managers, the team behind Stagshead Distribution have a wealth of knowledge and expertise.

Stagshead_Distribution_patternA.png

Standards

We consider each transaction individually for key indicators to ensure it meets current investors' demands for simplicity, transparency, and consistency. These are essential for asset-backed securities as the industry moves towards standards set by ESMA.

Collateral risk

Nature of the assets
Performance history
Payment status and historical default rates
Consistency of rules for asset selection
Asset transfer and security
Provision of initial and ongoing data

Servicing and enforcement risk

Voting and enforcement rights
Documentation disclosure and legal review
Alignment of interests
Fiduciary and contractual responsibilities
Transparency to investors
Transparency of pricing
Recoverability of assets

Structural risk

Cash flows
Currency and interest rate asset and liability mismatches
Payment priorties

How our standards are monitored

Bond structuring follows a systematic approach and we maintain those standards throughout the lifecycle of the bonds.

The bonds are issued by a separate legal entity, as opposed to the sponsor company themselves specifically because these are not intended to be a typical corporate bond. This vehicle is specifically set up to issue debt and is bankruptcy remote. This is a term used to describe an entity formed to develop, own, and operate a special project while isolating financial risk and minimising bankruptcy risk.

Assets are pledged to a well-established UK trustee.

The securities are segregated senior secured bond issuance’s under an approved programme.