Bridging Global Capital and U.S. Yield
Connecting global institutional capital with long-duration U.S. credit through a regulated, tax-efficient issuance platform.
Our Firm
Park Street Global operates a cross-border fixed-income issuance platform for global institutional investors. We convert long-duration, contracted U.S. cash flows into senior secured, tax-efficient notes or loans across net lease real estate, government-leased assets, renewable energy, and structured credit.
The platform is designed for scale and repeatability. Each issuance is governed by a regulated structure with independent trustee oversight and standardized reporting. Our focus is on tax efficiency, capital preservation, predictable income, and disciplined execution. We provide a durable pathway for institutions to access U.S. credit while financing essential assets that support the real economy.
Park Street Global operates a regulated issuance platform that converts stabilized U.S. cash flows into senior secured notes for non-U.S. institutional investors.
The structure standardizes governance, tax treatment, and reporting, allowing capital to move programmatically across asset classes while maintaining institutional controls.
Our Model
Institutional Partnerships
Direct access to stabilized pipelines from best-in-class U.S. asset managers
Renewable Energy Notes
Backed by Solar Power Purchase Agreements with 20–25 year terms
Asset Backed Credit Notes
Backed by diversified portfolios of senior and mezzanine asset-backed credit exposures—ABS, RMBS, CMBS, CLO and private credit facilities
Global Distribution & Access
Offshore issuance channels designed for international institutional investors
Industrial Net Lease Notes
Backed by Long-term, credit-tenant triple-net leases
Tax-Efficient Yield
Intended to qualify from exemption from U.S. withholding tax
Investor Reporting & Transparency
Asset-level data and comprehensive performance reporting
Custom Allocation Vehicles
Segregated structures tailored to specific jurisdictions
Park Street Global develops institutional fixed-income products backed by long-term, contracted U.S. revenues. We focus on three pillars: renewable energy power purchase agreements, industrial net leases and asset-backed credit. Both provide stable, credit-secured cash flows that can be structured into tax-efficient, fixed-rate notes for non-U.S. investors.
Core Strategies
Renewable and Green Energy Notes
Senior secured notes backed by contracted cash flows from solar, wind, and battery storage power purchase agreements (PPAs) with terms exceeding 20 years.
These notes provide non-U.S. institutional investors with long-duration, tax-efficient income, intended to qualify for exemption from U.S. withholding tax.
Each issuance combines the stability of fixed returns with ESG alignment, supported by investment-grade counterparties and collateralized by operating renewable assets under long-term PPAs.
Industrial Net Lease Notes
Senior secured notes backed by long-term, credit-tenant triple-net leases across U.S. industrial/mission-critical assets.
The notes provide institutional investors with durable, tax-efficient income, intended to qualify for exemption from U.S. withholding tax.
Each issuance is supported by investment-grade tenants and stabilized lease cash flows, ensuring predictability and institutional credit quality.
Asset-Backed Credit Notes
Senior secured notes backed by contracted cash flows across the asset-backed securitization market, including residential and commercial real estate, consumer and small-business credit, CLOs, and select specialty finance sectors.
Designed for qualified non-U.S. institutional investors, these notes deliver tax-efficient, fixed-rate U.S.-dollar income through structures intended to qualify for exemption from U.S. withholding tax.
The framework provides institutional investors with transparent, credit-anchored exposure to U.S. income, in a globally tradable format.
Our Principles
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ESG at the Core
Sustainability is embedded in everything we do and sits at the center of our investment strategy. It is not a label—it is a baseline principle carried into every decision.
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Governance Built on Trust
With more than 75 years in the industry, our reputation rests on the trust we earn from partners. We live by clarity, accountability, and follow-through at every step.
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Diligence & Discipline
Every opportunity is grounded in rigorous research, due diligence, and analysis. We go deeper so investors can move forward with confidence.
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Innovation with Purpose
Innovation underpins how we operate. Through strategic partnerships and purpose-built infrastructure, we open access to opportunities unavailable through traditional channels.
Who We Serve
Building Long Lasting Relationships
Sovereign Wealth Funds
Programmatic access to dollar-denominated, contractual U.S. income through senior secured, asset-backed notes—built for scale, transparency, and institutional governance.
Pension Funds
Long-duration, predictable cash flows designed to complement liability-aware portfolios—senior, asset-backed structures with standardized servicing and reporting.
Insurance Companies
Stable, contract-backed income with disciplined governance and clear security interests—structured for consistency, transparency, and ongoing oversight.
Family Offices
Institutional-grade access to asset-backed notes that aim to deliver stability and dollar income—with clean documentation, disciplined diligence, and streamlined onboarding.
Global & Digital Banks
Exposure to contracted U.S. cash flows via senior secured notes—cross-border efficiency, standardized reporting, and a modern investor experience for treasury and investment desks.
ESG-Focused Allocators
Notes aligned to renewable and sustainability-linked revenues, supported by verifiable data and clear methodologies—ESG embedded by design, not added after the fact.
Alternative Credit & Private Debt Managers
Complementary, senior asset-backed exposure to contractual cash flows—programmatic issuance and transparent reporting that integrate smoothly with existing private credit mandates.