CORPORATE FINANCE & DEBT STRUCTURING
LOAN AMOUNTS FROM USD 100MM to $500MM+
Lending Area: International
ISSUING BONDS TO RAISE CAPITAL
FROM USD 100 MILLION
Corporate bonds are issued by companies, both private and public, to raise capital for many purposes like: purchasing an investment property, funding a real estate development project, building a new plant, purchasing equipment, growing the business, etc.
Investors that fund bond issues prefer asset-backed bonds that are secured by an income producing international business/portfolio (e.g. hotels, shopping centers, office buildings, multifamily, exploration and mining operations, pipelines and energy projects, electric power plants, water reservoirs, satellites).
The Loan is a fixed-term loan secured by a corporate bond of USD 100 million (or more) guaranteed senior notes. The notes will be collateralized by assets (value: 2 times the bond face amount), free and clear of all liens and other encumbrances, in the Business Sectors listed, secured by Credit Default Insurance, and full-recourse.
Funding Amount: USD 100 million+
Repayment Term: 3 to 10 years
Funding vs Asset Value: 50% maximum
Coupon Rate: 7% to 12% per annum, semi-annual
Early Repayment: Not allowed
Guarantee: Guarantor & Credit Default Insurance
Loan Purpose: Any
Collateral: Commercial Assets, value USD 200MM plus
Funding Time Frame: 4 to 6 weeks
Appraisal Fee: if applicable, paid by borrower
Initially, only an Executive Summary (ES) (i.e. generic or borrower's) in English is needed (and any supporting documents that borrower wishes to provide). ES needs to detail the assets available for collateral, values, and annual incomes. Once lender advises of its interest, appraisal reports will be of value. Email ES & any supporting documents here.