Our
Approach

A Structured, Secure, and Aligned
Investment Architecture

No pre-packaged products, no off-the-shelf solutions. Every investment vehicle is custom-built to deliver performance, risk control, and wealth alignment—through capital protection, sustainable returns, and full transparency. Our model relies on a proven structuring method: the SPV (Special Purpose Vehicle).

The SPV Model
Project-Based Structuring

Each HEVEA investment is structured within an independent SPV, created specifically for each project or portfolio. This ensures legal clarity, controlled cash flows, and full traceability.

SPVs provide key advantages: risk isolation, transparent governance with bylaws and dedicated accounts, tax optimization adapted to each jurisdiction, and direct access to underlying assets. Investors always know exactly what they own.

Governance
Contractual Discipline and Alignment of Interests

Governance is central to our model. Each SPV operates with clear contracts, defined profit distribution, investor rights, and active management by HEVEA or its subsidiaries. We always co-invest alongside our clients, ensuring full alignment and disciplined execution.

Capital and
Asset Protection

Capital security is our top priority. Each SPV has segregated accounts, insured digital assets, and tangible assets held directly in its name. We work only with certified custodians, banks, and auditors, with third-party audits available on demand.

Every fund operates within a secure legal and operational framework validated by our expert partners.

Investment Process
In 5 Key Steps

We’ve designed a rigorous onboarding process for private and professional investors:

Investor Qualification

Confidential interview, profile analysis, KYC/AML verification

Access granted only to eligible investors

Fund or Project Presentation

Delivery of key documents:

  • Pitch deck
  • Term sheet
  • SPV structure overview
  • Project timeline
  1.  

Subscription & Structuring

Signature of legal documents

Entry into the SPV or fund’s capital

Investment Phase

Capital deployment, project management, continuous reporting

Secure portal access to monitor performance, decisions, and documents

Exit / Liquidation

Resale, dividend or capital distribution •
Final report •
Egal and tax support if required •

Control, Reporting
and Transparency

We provide institutional-level transparency with quarterly reports, full access to legal and accounting documents, regular updates with our team, and KPI tracking on underlying performance—all available through a secure investor portal.

A Model Designed for
Strategic Investors

Our approach is designed for entrepreneurs structuring their capital, business leaders diversifying beyond public markets, family offices seeking performance and security, and qualified investors combining returns with risk control.

Would you like to assess how our approach fits your wealth strategy?

Contact our team for a confidential and personalized conversation.