Trade Finance
Muinín provides a range of trade finance investment management functions. These include sourcing and evaluating investment opportunities; structuring, negotiating and completing trade finance investments. Developing a diversified investment portfolio providing post-acquisition value enhancement. Structuring and completing optimal exits returning capital to its investors. Trade finance investments are executed on a non-speculative back-to-back basis in commodities, energy and food products.
Alternative Investments
Muinín provides opportunities for investment diversification to its investors providing a greater yielding portfolio. We provide expertise in sourcing alternative investment opportunities through our sustainable strategy & global access to project opportunities.
Our solutions are for Investors requiring a trade finance investment hedge that significantly reduces the risk into alternatives investments.
Project Financing
The Muinín dual strategy model is focused on the capital raising on projects that include ethical and sustainability strategies to reduce global emissions that many countries are committed to delivering. This low risk trade finance business model provide a hedge against higher risk projects that require financing.
Our Services
- Muinín identifies investment opportunities which provide access to projects with financing requirements that deliver a sustainable and ethical benefit.
- A dual strategy solution that finances projects and trade finance transactions within a minimised risk framework related to tangible assets; Renewables, infrastructure, consumables, commodities, food products and energy.
- Services are supported by a growing network of product specialised partners through Muinín partner companies and institutional collaboration.
- Providing access to a back-to-back trade finance investment model for an investor pool that requires a low investment risk model to participate into private equity direct investment strategies.
- As efficient operating model providing a rapid and effective decision-making process to minimise time to market for transactions.
Learn
About our
Motivation
The Company’s formation is motivated by strong market dynamics: rising investor interest in diversifying through attractive opportunities in the Target Region, increased demand for sustainable and ethically focused funds amid economic transformations, and the scarcity of diverse portfolios from reliable asset managers to seize these chances.
Headquartered In Mayfair, London &
Regulated In The United Kingdom
Ashok Tak
Group Chief Executive
Hugh Foster
Chief Financial Officer
Simon Phillips
Group Chairman
Anthony Upward
Chief Technology Officer
Joseph Mann
Chief Administration Officer
Contact us
Visit us at our Mayfair offices or contact us for a conversation.