Vintage dry bulk tonnage investment offering

Targeted SPV investing in vintage geared dry bulk carriers—acquired near residual value, operated on short-term charters, and sold through a disciplined exit.

Vintage dry bulk, ship-backed investments

Disciplined buy–operate–divest strategy

Transparent cash flow mechanism

Asset backed

Secure investment structure with clear ownership and transparent cash flow mechanisms.

Risk managed

Comprehensive due diligence and independent third-party oversight of investment parameters.

Global reach

Strategic assets supporting critical international trade routes and essential logistics infrastructure.

Professional team

Experienced maritime and finance professionals managing complex global investment strategies.

Investor Deck

Onboard for our comprehensive investment deck

Access detailed strategies and investment opportunities across maritime, infrastructure, and real assets. Our data room provides transparent, in-depth information.

Investment strategy

Detailed overview of our vintage dry bulk buy–operate–divest model, target vessel profile, and key return drivers.

Fund structure & terms

SPV structure, fees and waterfalls, risk factors, and governance, including the role of the independent fund administrator.

Invest

Maritime assets that move the world

Diversify your portfolio with niche, ship-backed strategy in vintage geared bulk carriers.

Insights

Key investment highlights

Disciplined approach to maritime asset investment strategies

Strategy

Maritime and logistics investments with clear economic fundamentals

Targeted opportunities in essential global infrastructure sectors

Performance

Transparent reporting and professional management of investment vehicles

Detailed performance tracking and investor communications

Risk management

Comprehensive due diligence and risk control mechanisms

Systematic approach to identifying and mitigating potential investment risks

Privacy and Dislcaimer

This website and any related materials (including Investor Presentations) are for informational purposes only and do not constitute an offer to sell, or the solicitation of an offer to buy, any securities. Any offering of interests in HighWater Navigation Fund, LLC (the “Company”) is made solely by means of the applicable confidential offering documents and only in jurisdictions where such an offering is lawful. All investments involve risk, including the possible loss of your entire investment.

The information provided here is a summary only, is incomplete, and should not be relied upon as the sole basis for an investment decision. Before investing, you should carefully read the Confidential Private Placement Memorandum and related documents, which contain important information about the Company, the securities offered, and the risks of investing. You should regard an investment in the Company as speculative and invest only if you can afford to lose all of your investment.

This information is confidential and intended solely for the recipient and their professional advisers. You may not copy, share, or distribute it to any other person without the prior written consent of the Company. Any projections or forward-looking statements are based on assumptions about future events that may not occur. Actual results may differ, potentially in a material way, from those projected or discussed. No assurance can be given that the Company’s investment objectives will be achieved.

Our commitment is to clarity, discipline, and regulatory compliance. We recognise that risk is inherent in every investment and focus on understanding and managing that risk through thorough due diligence, transparent reporting, and adherence to applicable securities laws. We do not promise guaranteed outcomes or “miracle” returns; instead, we offer carefully evaluated, asset-backed opportunities and the straightforward information investors need to make informed decisions.