The fund

Built for capital preservation and consistent income

The Eleven Capital fund is a Standard Capital / Cash Fund deploying investor capital across a diversified portfolio of UK property opportunities — residential, commercial, development, and bridging.

8%
Target return p.a.*
£100k
Minimum investment
2 yrs
Fixed term
Annual
Distribution
Fund structure

Key terms

Fund typeStandard Capital / Cash Fund
Target return8% per annum*
DistributionAnnual
Term2 years fixed
Minimum investment£100,000
Early exitNot available
Geographic focusUnited Kingdom
FCA authorised individualMartin Grey (FCA 518817)

*Exact return language subject to compliance approval. This figure represents the target return and is not guaranteed. Capital is at risk.

How capital is deployed

Strategic allocation

Residential — 30%

High-yield residential property in established UK markets. Stable tenant demand provides a reliable income foundation for the fund.

Commercial — 25%

Diversified commercial holdings with long leases and strong covenants. Provides stable, inflation-linked income streams.

Development — 25%

Ground-up and refurbishment projects with enhanced return profiles. Active management creates value through planning gain and build-out.

Bridging — 20%

Short-term secured lending generating consistent income while capital is recycled into longer-term positions.

Governance

How the fund is managed

The fund is managed by Martin Grey, directly authorised and regulated by the Financial Conduct Authority (FCA 518817) through AMG FM Ltd. This provides an institutional governance framework around all investment decisions.

All investment decisions follow a documented process: sourcing, screening, underwriting, and ongoing monitoring. No capital is deployed without completing full due diligence including independent valuations, legal review, and financial stress testing.

Investment committee

Every deal is reviewed and approved by the fund directors before capital is committed.

Independent valuations

All property assets are independently valued by RICS-accredited surveyors.

Ongoing monitoring

Active portfolio management with quarterly internal reviews and annual investor reporting.

Investor experience

What to expect as an investor

Annual distribution

Returns are distributed annually into your nominated bank account, accompanied by a detailed performance statement.

Annual reporting

Comprehensive reporting covering fund performance, asset-level detail, market commentary, and forward strategy.

Direct access

Every investor has direct access to the fund directors. No call centres, no intermediaries — real conversations with the people managing your capital.

Optional meetings

For larger investors, we offer Teams calls or face-to-face meetings to discuss fund performance, strategy, and market outlook.

Risk factors

Important information

All investments carry risk. Before investing in the Eleven Capital fund, please consider the following carefully. We strongly encourage all prospective investors to seek independent financial advice.

Capital at risk

You may not get back the full amount you invest. The value of your investment can go down as well as up.

Not FSCS protected

This fund is not covered by the Financial Services Compensation Scheme. If the fund fails, you will not be eligible for FSCS compensation.

Fixed term

Your capital is committed for a 2-year fixed term. There is no provision for early exit or redemption during this period.

Property market risk

Property values and rental income can be affected by economic conditions, interest rates, planning changes, and market sentiment.

Not financial advice

Nothing on this website constitutes financial, investment, or tax advice. You should seek independent professional advice before investing.

Next step

Speak with our team

Interested in learning more? Arrange a confidential conversation with our directors to discuss the fund in detail.