Oil + AI Revenue Bonds
Pre-Issuance- Example Size$1.99B
- Example IssuerProject Phoenix I SPV LLC
- Example ExemptionsReg D, Reg A+ (R≤2%), Reg S
- Example StreamsOil revenues; 10% AI carry
We scan EDGAR/FINRA datasets and placement history to rank likely buyers, then verify mandate fit and check size.
We shape coupons, amortization, covenants, collateral and reserves to match investor preferences and issuer economics.
We assist client SPVs with issuance documentation and trustee coordination.
We activate finders and placement partners against ranked buyer lists to compress marketing cycles and reduce slippage.
Reporting, compliance, bondholder communications, and performance analytics keep interests aligned.
At the heart of Tailored Bonds is 1XLR8 | our AI system trained on decades of bond and market data. It turns complex financial structuring into intelligent, adaptive workflows, evaluating, documenting, and connecting every deal with the right investors in real time.
1XLR8 understands how successful bonds are built. It can analyze a new bond idea, ask the right structural and compliance questions, and evaluate its success potential using both historical and real-time data from SEC and market sources.
Once validated, 1XLR8 can generate draft frameworks (e.g., PPM templates, Trust Indenture outlines) for client counsel review. Aligned with the latest SEC and FINRA language trends.
Our AI builds a three-tier Placement Graph that connects issuers with buyers, finders, and placement partners best suited to the bond’s structure and sector focus.
1XLR8 produces a tailored Sales & Distribution Plan, identifying the most likely capital sources, best channels, and potential allocation partners — effectively an end-to-end sales roadmap for every issuance.
Through alignment with the SEC’s Project Crypto, Tailored Bonds extends 1XLR8’s insights onto blockchain rails, bringing real-world assets to compliant digital markets worldwide.
Try our AI Bond Structurer Learn More About 1XLR8From investor targeting to trust indentures and bondholder reporting, we integrate structuring, execution and ongoing management in one accountable workflow.
Mandate analysis, appetite scoring, and ranked buyer lists using market filings and allocation history.
Revenue shares, reserve waterfalls, tailored amortization, and covenant frameworks matched to demand.
We support clients’ counsel in preparing their own PPM suites, Pre-Issuance Supplements, subscription agreements, trustee/rating workflows, and filings.
Activate pre-aligned buyer lists with finders/partners, streamline allocations, and compress time to capital.
Quarterly updates, compliance support, covenant tracking, and investor communications.
Listing strategies, guarantor structures, rating engagement, and special mandates.
Work with us to bring qualified investors into revenue-backed deals that are already structured around demand.
Non-exclusive introductions to qualified investors; all negotiations and closings occur directly with the issuer/SPV. We provide compliance-ready materials and track allocations.
Note: Partner participation is subject to applicable securities laws and offering documents. We do not accept or handle investor funds.
All partner activities occur under each party’s applicable registration or exemption requirements.
The following examples are presented for educational and illustrative purposes only.
Tailored Bonds LLC does not publicly offer or sell securities.
All live offering materials, if any, are accessible only through our secure data room to verified accredited or institutional participants.