Casks bought, held and sold.
A selection of client outcomes — what was paid on acquisition, how long each cask was held, and the gain realised on sale. Every result is specific to that cask, its timing and the market at the point of sale. Results are shared with client consent.
Results are shown with client consent; initials are used to protect privacy. Past performance is not a guide to future results and figures do not represent guaranteed or typical outcomes — capital is at risk.
Every exit is planned before the purchase
A result like those above is the end of a considered process — not a guarantee. Before any cask is recommended, we assess the routes by which it could later be sold, and we manage the holding with that exit in mind.
Acquire on merit
Price, age, liquid quality, bottle yield and trade relevance are assessed before purchase — with realistic resale routes already identified.
Hold and manage
The cask is stored in bonded warehousing and monitored as it matures, with ownership documentation held independently of the brokerage.
Sell when the time fits
When the market and the client's objectives align, we approach private collectors, brokers, the wider trade and independent bottlers to realise a sale.
Discuss your whisky portfolio with an experienced cask specialist
Whether you are acquiring your first cask, building a larger collection or reviewing an existing portfolio, our team can provide a clear, considered assessment of the options available to you.