How It Works - Chain Income Group | Invest in Infrastructure
Infrastructure Investment Process
Investment Process

A Simple Path from Capital to Infrastructure Income

A transparent, straightforward process from account creation to monthly infrastructure income. We handle the technical complexity so you can invest with confidence in revenue-generating assets.

Investments carry risk. Target returns are not guaranteed. See full risk disclosures.
Easy Entry

Accessible entry points for all investor types

Fully Managed

Complete operations and transparent reporting

Monthly Distributions

Regular cashflow from asset revenue

Real-Time Tracking

Dashboards and ongoing updates

Your Capital, Deployed into Real Infrastructure

Chain Income Group makes it straightforward to invest in revenue-generating infrastructure across four critical sectors. We combine institutional-grade sourcing and underwriting with hands-off operations and monthly distributions.

Our platform provides access to professionally managed infrastructure investments that were previously reserved for institutions and sovereign wealth funds. Choose from AI Data Centers, Renewable Energy, EV Charging Networks, and Cybersecurity Infrastructure—each with detailed asset information, revenue models, and transparent target returns.

AI Data Centers
Renewable Energy
EV Charging
Cybersecurity

The 6-Step Investor Journey

A visual, straightforward path from exploration to monthly distributions

Choose a Sector

Select one or multiple sectors—AI compute, Renewable Energy, EV Charging, or Cybersecurity. Each sector page explains asset types, revenue models, and target returns to help you make informed decisions.

1

Pick Your Investment Tier

Choose a tier that matches your capital and risk-return preferences. Higher tiers typically access better target yields and priority allocations with enhanced support and dedicated advisory services.

2

Complete Account Setup & KYC

Create your account and complete identity verification (KYC/AML). Our secure onboarding process ensures compliance while maintaining your privacy and protecting your information.

3

Commit Capital & Subscribe to a Deal

Browse available live deals or select pooled sector allocations. Review the offering documents (diligence pack, subscription agreement), select your investment amount, sign electronically, and fund via supported payment methods.

4

We Deploy, Operate & Optimize

We deploy capital into the selected assets—procurement, construction, commissioning, and operations are managed by our teams and trusted operator partners. We continuously optimize operations to maximize uptime and revenue.

5

Receive Monthly Distributions & Reporting

Project revenue is collected, fees and reserves are applied, and net distributions are sent monthly. Track yields, utilization, and project KPIs in your investor dashboard. Quarterly and annual reports provide deeper analysis.

6

How Deals Are Presented to Investors

Each live offering includes a standardized diligence pack so investors can compare opportunities consistently and make informed decisions based on comprehensive, transparent information.

Asset Description & Technical Specs

Detailed information about the physical infrastructure, location, capacity, and technical specifications of the investment opportunity.

Revenue Model & Contracts

Contract summaries including offtake agreements, PPAs, fleet contracts, and enterprise agreements that generate project revenue.

Cashflows & Sensitivity Analysis

Historical or projected cashflows with multiple scenarios and sensitivity analyses to understand potential outcomes.

Legal Docs & Subscription Agreement

Complete legal documentation and subscription agreements with clear terms, conditions, and investor protections.

Standard Diligence Pack Includes

Every investment opportunity provides comprehensive documentation for informed decision-making

Executive summary & investment thesis
Asset description & technical specifications
Revenue model & contract summaries
Historical or projected cashflows
Sensitivity analyses & scenarios
Fees, reserves & payout cadence
Legal documentation & agreements
Risk factors & mitigation strategies
Secondary Market Access

We are building pathways for secondary transfers where permissible and when investor demand exists. Secondary market access, fees, and transfer conditions are disclosed in the offering documents.

Reporting & Investor Transparency

We deliver transparency through multiple channels, ensuring you always have clear visibility into your infrastructure investments and their performance.

Real-Time Dashboard

Live portfolio breakdown with yields, KPIs, and performance metrics accessible 24/7 from your investor account.

Monthly Statements

Detailed payout calculations, fee breakdowns, and performance updates delivered every month.

Quarterly Reports

Comprehensive sector commentary, operational highlights, and market outlook analysis.

Incident Reports

Ad-hoc notifications for material operational events with clear remediation plans.

Data Available Per Asset

Revenue by stream
Utilization metrics
Uptime percentages
Maintenance logs
Contract renewal pipeline
Third-party verifications

Liquidity & Secondary Market

Understanding hold periods, liquidity windows, and secondary transfer opportunities

Primary Approach

  • Many offerings are structured as multi-year assets with scheduled hold periods
  • Liquidity is typically limited during early phases
  • Some offerings include buyback provisions or scheduled liquidity windows
  • Hold-to-maturity structures for certain asset types
  • Expected timelines disclosed in offering documents

Secondary Market

  • Building pathways for secondary transfers where permissible
  • Available when sufficient investor demand exists
  • Secondary market access disclosed in offering documents
  • Transfer fees and conditions clearly outlined
  • Subject to regulatory compliance and deal-specific terms

Risk Management & Mitigation

We Don't Eliminate Risk — We Manage It

Every infrastructure investment carries inherent risks. Our approach focuses on comprehensive due diligence, diversification, and active management to mitigate potential issues.

Diversification

Spread across sectors, geographies, and counterparties to reduce concentration risk.

Rigorous Due Diligence

Comprehensive technical and commercial analysis before any capital deployment.

Conservative Modeling

Stress testing and scenario analysis with realistic assumptions.

Contractual Protections

Long-term offtakes, escrow arrangements, and performance guarantees where possible.

Active Management

Preventative maintenance, redundancy systems, and rapid incident response.

Insurance Coverage

Asset and business interruption policies maintained where applicable.

Frequently Asked Questions

Common questions about the investment process

How long until I start receiving payouts?

Timing depends on the chosen deal. For pre-built, revenue-generating acquisitions, payouts can begin within the next distribution cycle. Greenfield projects may have a development timeline before commercial operations and payouts begin. Each offering lists expected timelines clearly.

What happens if a customer underpays or defaults?

We structure contracts and payment flows to mitigate counterparty risk through creditworthy offtakers, escrow arrangements, and performance bonds. Loss events are managed per the offering terms and reflected in monthly statements with clear explanations.

Can I exit early?

Early exits are governed by the subscription agreement. Some deals support secondary transfers or buyback arrangements, while others are hold-to-maturity style. Check deal-specific liquidity terms in the offering documents.

How are disputes handled?

Subscription agreements include dispute-resolution clauses and governing law specifications. For operational issues, investors receive incident reports and detailed remediation plans to maintain transparency.

Can I invest across multiple sectors in one transaction?

Yes. You can allocate capital across multiple sectors or into pooled sector-specific products as permitted by the platform and based on deal availability. This allows for diversified exposure to different infrastructure asset classes.

Security, Custody & Data Protection

Your capital and data are protected with institutional-grade security measures

Fund Custody

Funds are held in segregated accounts with regulated custodians and payment processors per offering documentation. Your capital is protected and separately maintained.

Data Protection

Industry-standard encryption for data in transit and at rest. Access controls and role-based permissions limit operational access to sensitive investor data.

Platform Security

Regular penetration testing, SOC-type controls, and incident response playbooks are maintained to ensure platform integrity and security.

Ready to Start Your Infrastructure Investment Journey?

Join thousands of investors earning monthly returns from real, asset-backed infrastructure. Create your account today and explore professionally managed opportunities across AI, renewable energy, EV charging, and cybersecurity sectors.