We co-create notes with leading global banks—tailored coupons, barriers, and maturities to fit your mandate.
SA Capital designs and structures investment notes for professional clients, IFAs, and family offices. Working with leading global issuers, we deliver efficient, transparent, and bespoke investment opportunities.
Regular coupon payments with early redemption potential, based on market performance and client-specific parameters.
Attractive yield enhancements by linking returns to credit events or reference entities, managed with strict issuer diversification.
Participate in equity or thematic performance while maintaining partial or full capital protection at maturity.
Step 1
We conduct detailed conference calls with potential clients—individual investors, brokers, or institutions. Together we discuss client types and platforms used, the nature of existing portfolios, liquidity preferences, typical product sizes and overall client-base scale. We also align on risk appetite, return targets, and commission structures to fully understand the mandate.
Step 2
Using the briefing insights, we construct tailored structured notes and present detailed quotations with alternatives. This stage is interactive: we gather client feedback on the quotations and iterate the payoff so the final structure matches their risk‑return objectives and product constraints.
Step 3
Trade approval, documentation, and onboarding are coordinated with selected issuers. We ensure clear terms and smooth settlement.
Step 4
We provide lifecycle monitoring, valuations, and call/maturity notifications—keeping clients fully informed throughout the note’s life.