Services crafted for compliant equity liquidity
GKP Capital provides a cohesive set of services to help shareholders, issuers, and institutional investors execute equity transactions with confidence. Our offerings include regulated custody partnerships, execution across listed venues, structured secondary sales, and curated private placements. We integrate operational controls, identity verification, and settlement coordination so that each engagement produces auditable outcomes. By combining a market-facing execution capability with advisory and custodial relationships, we help clients navigate tax, legal, and settlement considerations that often complicate equity transfers. For issuers, we offer placement strategy and investor outreach while protecting confidentiality and price discovery. For investors, our services provide access to private allocations and institution-grade custody with consolidated reporting. Our product suite is designed to be modular and to align with governance needs for corporate actions, shareholder transfers, and liquidity events.
Core service lines
GKP Capital's core services are designed to cover the complete lifecycle of an equity transaction, from initial inquiry and compliance onboarding through settlement and reporting. Our execution desk provides routing and matching for listed securities and coordinates block trades to limit market impact. For shareholders seeking liquidity, our structured secondary offering provides confidentiality, escrowed settlement options, and staged releases that align incentives for both sellers and buyers. Private placements are curated for accredited and institutional investors, with managed subscription workflows, escrowed commitments, and tranche scheduling when needed. Custody services are facilitated through regulated third-party custodians with documented SLAs, regular reconciliations, and custody confirmations to clients. Advisory services cover placement strategy, tax and legal coordination, and governance reviews so that issuers and shareholders understand the implications of liquidity events. Each service includes tailored documentation and an assigned relationship manager to ensure timely communications and clear milestones during execution.
Market Execution
Smart order routing, block trade facilitation, and execution quality reporting for listed securities.
Private Placements
Curated placements with subscription management, investor verification, and controlled settlement.
Custody & Settlement
Third-party custody integrations, reconciliation services, and custody confirmations for audit readiness.
Compliance & KYC
AML/KYC processes, accredited investor checks, and compliance workflows aligned with regulatory obligations.
Reporting & Reconciliation
Consolidated reporting, trade confirmations, and machine-readable exports to support accounting and audit teams.
Advisory & Structuring
Transaction structuring, placement strategy, and coordination of legal and tax advisors for liquidity events.
Engagement model and onboarding
Engaging GKP Capital begins with a focused intake that collects governance documents, identity verification materials, and a brief description of the desired outcome. Our onboarding is structured to meet regulatory and custody requirements while accelerating execution. We provide clients with a checklist covering KYC, beneficial ownership declarations, subscription documents for placements, and any accompanying corporate consents. Following document submission, our compliance team performs verifications, and an engagement manager outlines a timeline for execution, including any escrow or staged settlement arrangements. For private placements and secondary sales, we coordinate legal and tax advisors to confirm pricing, transfer mechanics, and settlement windows. Once operational readiness is confirmed, our execution desk routes orders, or our placement team connects verified investors based on the documented allocation parameters. Post-trade, clients receive consolidated confirmations and reconciliation statements, with ongoing access to reporting dashboards and custodial confirmations. This structured approach reduces settlement uncertainty and creates auditable outcomes for governance and accounting teams.
Engagement tiers
We offer modular engagement tiers to fit the needs of different clients. An introductory advisory engagement focuses on scoping and compliance requirements, delivering a readiness checklist and timeline. Execution engagements add order routing, block trade handling, or placement distribution with custodial coordination. Full-service engagements include placement advisory, investor outreach, escrow arrangements, and post-settlement reporting. Each tier includes a documented scope, fee estimate, and an assigned team to manage execution, custody confirmation, and reporting.