Operational UK assets
Solar portfolios, last-mile logistics, Tier-III data centres, FTTP roll-outs. Income-producing from day one.
How it works
Each X-Grid deal is a real UK infrastructure asset with documented counterparty contracts. We slice it into co-investment positions, you collect a share of the contracted revenue.
Solar portfolios, last-mile logistics, Tier-III data centres, FTTP roll-outs. Income-producing from day one.
Contracted revenue → quarterly payouts to your wallet. Income tracks operational performance, with downside protected by minimum take-or-pay clauses where applicable.
Per-deal report covering utilisation, revenue, distributions, and any material counterparty changes. Read it in five minutes, file it for the year-end.
Most deals start at £500–£2,500. The "Institutional Slot" opens an allocation normally reserved for £25,000+ LPs.
X-Grid plans
A co-investment in operational UK solar assets with 15+ year power purchase agreements. Quarterly distributions backed by contracted revenues from regulated counterparties.
Income-producing warehousing assets leased to investment-grade UK retailers under long-dated leases. Returns are driven by contracted rents with annual RPI uplift.
Income-generating fibre network roll-out with government-backed subsidies. Returns are anchored in long-term ISP wholesale contracts.
A capacity-share position in a Tier-III data centre with five-year colocation contracts. Returns scale with utilisation; downside protected by minimum take-or-pay clauses.
Repowering older wind turbines with modern higher-yield equipment, paired with battery storage to capture peak grid pricing. Mixed contracted and merchant revenue.
Higher-minimum allocation across a multi-asset infrastructure book that mirrors what UK pension funds hold. Diversified across power, transport, and digital infrastructure.