Nexus Meridian Fund

Institutional Capital, Deployed With Discipline

Structured capital deployment across real estate, technology, commodities, and infrastructure.

£250M Target AUM  |  10+ Vetted Opportunities  |  5-Year Horizon

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Nexus Meridian Fund

An exclusive investment vehicle that identifies, structures, and deploys institutional capital into premium opportunities across real estate, technology, commodities, and infrastructure.

£250M
Target AUM
4
Asset Classes
5
Year Horizon
10+
Vetted Opportunities

How We Operate:

Full investment terms, fee structure, and returns are set out for qualified investors only. Request investor access to review complete terms.

Our Difference

Too many funds collect management fees year after year while investor capital sits in holding structures, never reaching a real operating business. Nexus Meridian was built to work the other way round.

The Standard We Rejected

Fees collected annually regardless of whether capital is ever deployed

Capital raised from investors held for years before it reaches an operating business, if it ever does

Infrequent, vague reporting that makes it difficult to verify where money has actually gone

Multi-year lock-ups with no defined deployment timeline

How Capital Moves Here

Capital sits in independent escrow, not with the Fund, until deployment conditions are verified — the Fund cannot touch it on its own instruction

A hard 120-day deployment window: if capital isn't deployed into an approved SPV in time, it returns in full with interest, fee-free

Portfolio companies retain the majority of equity and full day-to-day operational control — we invest alongside founders, not over them

Monthly, quarterly, and annual reporting, independently verified through Big 4 audit

The principle is simple: we're not in the business of collecting fees on capital that never moves. We're in the business of putting capital to work in vetted, real businesses — and being judged on what it produces.

Investment Process

Our refined five-phase deployment process ensures capital is deployed strategically and returns flow consistently.

1

Assessment

Opportunity identification, comprehensive due diligence, financial modeling (Weeks 1-4)

2

Structuring

SPV creation, legal documentation, equity arrangements (Weeks 5-8)

3

Approval

Fund approval, investor notification, capital commitment (Week 9)

4

Deployment

Capital transfer, acquisition launch, operations commence (Week 10-12)

5

Operations

Active monitoring, strategic reporting, return distribution (Months 2-18)

Timeline & Returns: Capital deployed within 12-24 months. First returns flow 12-18 months after deployment. Ongoing cycles throughout 5-year investment period. Until deployed, capital is held by an independent escrow agent, not the Fund — see Capital Deployment Assurance under Insurance & Compliance below.

Fee Structure

Institutional-grade fees with clear, transparent economics — full schedule available to qualified investors.

Structured for Alignment: Our fee model combines a modest annual management fee with a one-time cost tied to each completed deployment — never a fee for capital that sits idle. See Capital Deployment Assurance below for what happens if capital isn't deployed in time.

The complete fee schedule, worked examples, and expected return structure are set out in full for qualified investors. Request investor access to review.

Insurance & Compliance

Institutional-grade protections and regulatory excellence.

Insurance Coverage

Lloyds of London Premium Coverage

• Management Liability
• Directors & Officers
• Fiduciary Liability
• Professional Indemnity
• Crime & Fraud Protection
• Cyber Liability
• Errors & Omissions

Coverage: £2.6-4.25M annually

Financial Reporting

Full Institutional Transparency

• Monthly progress reports
• Quarterly financial statements
• Semi-annual portfolio analysis
• Annual Big 4 audits
• Annual tax documentation
• Exclusive investor access

Independent verification available

Regulatory Compliance

Premium Governance Standards

• DFSA registration in progress
• English law governance
• LCIA arbitration framework
• Institutional banking relationships
• Professional investor accreditation
• Comprehensive risk disclosure

See Terms & Conditions for current registration status

Capital Deployment Assurance

Escrow-Backed, Not Fund-Held

• Capital held by an independent escrow agent, not the Fund
• Released only against verified SPV formation and executed agreements
• 120-day deployment window (60-day extension maximum)
• Full return with interest if the window is missed
• No fees on undeployed or returned capital
• Monthly deployment status tracking

Full terms in Investment Agreement §5.4

Get In Touch

Want to learn more about Nexus Meridian Fund? Contact our team — qualified investors can request access to full investment terms.

Direct Contact

Investment Inquiries
Connect@nexusmeridian.fund

General Information
Info@nexusmeridian.fund