Private Maritime Investment Platform

Asset-Backed Shipping Exposure for Select Investors

NavigarCapital provides private participation in commercial container vessels and crude oil tankers on established global trade routes.

Investment Profile

  • Direct asset exposure, not a pooled public fund
  • Limited participation and controlled capital deployment
  • Structured monthly profit distribution framework
  • Operational oversight and disciplined risk controls

Asset Focus

Container + Crude

Commercial vessel classes tied to global trade volume and freight demand.

Participation Model

Private Allocation

Limited-access opportunities with controlled investor onboarding and deployment.

Distribution Cycle

Monthly Profit Ledger

Structured accounting and distribution tracking aligned to each investment start date.

Governance

Admin-Controlled Oversight

Manual approval checkpoints for withdrawals, reporting, and operational controls.

Commercial vessel asset classes

Asset Classes

Container and Crude Fleet Exposure

Explore Assets
Maritime investment strategy operations

Investment Strategy

Disciplined Underwriting and Route Selection

View Strategy
Investor onboarding and reporting workflow

Investor Workflow

Structured Onboarding to Monthly Reporting

See Process

Global Route Coverage

Institutional visibility across core maritime trade corridors.

NavigarCapital evaluates container and crude tanker exposure through route-level data, charter quality, and operator performance across high-volume international shipping lanes.

Atlantic and Pacific container corridors Middle East and Asia crude transit lanes Disciplined risk filters and allocation controls
NavigarCapital global maritime route map

Container Vessels

Exposure to high-utilization tonnage serving established liner corridors.

Crude Oil Tankers

Participation in strategic tanker assets linked to global energy transit.

Private Deal Access

Directly structured opportunities with limited investor capacity.

Why NavigarCapital

Built for investors who require precision, transparency, and control.

Our platform is designed for large-scale private participation where capital discipline and operational accountability are non-negotiable.

Asset-level exposure: direct visibility into assigned vessel positions and investment amounts.
Operational reporting: centralized profit history, withdrawals, and tax document access.
Disciplined underwriting: route quality, charter profile, and allocation controls before deployment.
Private access model: no public fund structure and no broad public solicitation.

Investor Workflow

From onboarding to monthly reporting in a controlled cycle.

01

Account Onboarding

Create your secure investor account and complete private access review.

02

Allocation Assignment

Admin assigns approved maritime opportunities by asset class and start date.

03

Monthly Profit Posting

Profit entries are added on aligned cycle dates and reflected in your dashboard ledger.

04

Withdrawal + Documents

Requests are submitted in portal, reviewed by admin, and paired with compliance records.

Risk and Governance

A framework designed for disciplined maritime capital management.

Allocation Controls

Capital is deployed into selected assets under participation caps to avoid uncontrolled concentration.

Administrative Checkpoints

Withdrawals and payout actions require administrative approval to maintain procedural consistency.

Investor Reporting Integrity

Monthly profit logs and tax documents are maintained through secure dashboard records.

Private Participation

Request access to upcoming maritime investment allocations.

Start onboarding to receive structured exposure opportunities in commercial shipping assets.