An Alternative Investment Fund that is truly non correlated to the broader markets and historically has been recession proof with a sizable upside potential.
NON CORRELATED, RECESSION PROOF
Alternative Investment
Gate 11 Capital is a fully integrated private investment firm focused on the financing, production, sales and distribution of high quality filmed entertainment- movies and TV.
Gate 11 Capital provides an innovative way to invest in the media & entertainment asset class through smart diversification.
Our carefully curated network and relationships brings in a high volume of suitable deals that allows us to cherry pick only those with the most appropriate risk and yield profiles.
Gate 11 Capital’s financial structuring skills helps protect the security of our investor’s capital via creative instrumentation.
The media and entertainment industry are a $2 Trillion growth industry that is currently undergoing a major disruption. This disruption is caused by the growth of technology with new forms of distribution coupled with the evolution of consumer’s media consumption habits which opens up major new opportunities in monetizing media content assets, especially in filmed entertainment- movies & TV.
While it is true that the Pandemic slowed the media and entertainment industry the first year, it also accelerated shifts that were starting to transform the industry. For example, Box office revenue shifted to streaming platforms and the emergence of these platforms and the subsequent competition to add subscribers has led to a great demand and hunger for high quality content that will not abate for the next five years taking industry revenues to $2.6 Trillion by 2025. Just in 2021, demand for content closed at 13% higher from the previous year which hit a peak when most of the world was at home and locked down due to the Pandemic.
Filmed entertainment is a recession proof industry because even in hard times, people will always consume quality entertainment content. During economic downturns, people will skip vacations but will still go to the movies or stream a film at home instead.
Investing in movies may be glamorous and even lucrative, but it is also a sophisticated and highly risky undertaking. Gate 11 Capital’s approach to managing this risk entails investment in a portfolio of films through secured instruments and structures, rather than bankrolling a single production. Through diversification comes a more proper balance of risk and return.
With equity, bridge and senior debt capabilities at our disposal, Gate 11 can fully finance projects or can simply take advantage of our relationships and deal flow in order to handle third party capital sourcing & syndication deals, unique opportunities and even late-stage investments. This flexibility allows us to further diversify our risk in this asset class while simultaneously achieving a high velocity in the redeployment of funds.
Our loans are predominantly intended to deliver cash-on-cash returns and a low correlation to the broader market. Meanwhile growth is also achieved simultaneously through the accumulation of IP which creates long term value and can itself be leveraged down the line.
Secured and Diversified Lender
Optimized Risk/ Reward Profile Per
Capital Preservation Via Instrumentation
Manage Downside Volatility
Build Long Term Residual Value
Gap Financing
Bridge Loans
Syndication
Co-Production
Historically, entertainment asset performance has been non-correlated with the general economic trends and has not been affected by stock market fluctuations.
Gate 11 Capital provides access to accredited and institutional investors that want to passively invest in the best filmed entertainment and take advantage of the uncorrelated growth of the industry while benefitting from Gate 11’s know-how in managing the high risk, volatility and difficult predictability of media and entertainment assets. With our access to deal flow and our carefully curated relationships, we focus on a diversified asset-based approach, investing in slates and productions that generate an appropriate yield while utilizing creative instrumentation to maintain the security of our investor’s capital.
2.5% Management Fee
3 Yr Min Investment Term
Target Returns of 11-14%
2% Management Fee
3 Yr Min Investment Term
Target Returns of 11-14%
Ready to tap into a truly alternative investment that is uncorrelated, experiencing hyper growth and has been historically recession proof?
Gate 11 Capital is unable to accept any unsolicited projects or any other type of materials. For more information, please see our site terms.
© 2023 Gate 11 Capital LLC. All Rights Reserved