Investor Access

Private Credit

Real Assets

Earn stable income
backed by real assets

Our Offer

Portfolio Lens

Senior Secured

Income

Private debt includes consumer credit, CRE Debt and corporate debt. In the past, CRE debt was only accessible to institutional investors.Today, investment in CRE Debt is an established asset class, providing attractive risk-adjusted returns with defensive and stabilising effects within a diversified portfolio. Private debt may sit within Fixed Income, Real Estate or Alternative asset allocation

1st
Mortgage

Security

2nd
Mortgage

Security

Caveat Loan

Alternative Asset Lend

Underwriting Discipline

Diligence-led assessment with conservative structuring.

Security & Documentation

Senior ranking, robust legal protections and covenants.

Monitoring
& Exits

Active oversight with defined repayment pathways.

Leading With Real Results

10 – 20%
p.a.

Target Net Return

3 – 24
months

Typical Tenor

Conservative
LVRs

Downside Focus

Active monitoring
Senior-secured structures
Independent valuations
Clear exit pathways
Active monitoring
Senior-secured structures
Independent valuations
Clear exit pathways

Our Strengths

01

Fixed Returns

Pricing our products with fixed base rates plus a floating BBSW (30-day mid) rate provides investors with a total return that is hedged against a rising interest rate environment.

02

First Loss Capital Protection

Most of our first mortgage funds benefit from an ‘Investment Protection’ credit enhancement that represents an ongoing Manager co-investment.

03

Strong Security

Our loans are supported by First and/or Second Mortgages, along with guarantees from borrowing entity Directors.

04

In-house Knowledge

Our association with Fortis is a powerful risk mitigant, bolstering our rigorous credit processes through ‘coal face’ insights, and provides in-house development management work-out expertise.

Explore our investment strategies

Learn how our private credit and real asset strategies are structured for clarity, discipline and investor alignment.

Consistent yield
profile

Cashflow-oriented structure with defined terms and repayment sources.

Senior-secured downside focus

Priority ranking + asset-backed security designed to protect capital.

Shorter duration flexibility

Shorter tenors reduce rate sensitivity and improve portfolio agility.

Risk framework

What investors care about: the repeatable process.

01

Origination & Screening

Initial filtering based on structure, asset quality, and exit credibility.

02

Valuation & Legal Diligence

Independent valuation, title checks, and enforceable security documentation.

03

Structuring & Covenants

LVR discipline, covenants, and investor-aligned protections.

04

Monitoring & Exit

Active oversight, milestones tracking, and predefined exit pathways.

Get the Investor Pack

Receive strategy summary, risk framework, and illustrative deal snapshots.

Book A Call

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FOR INVESTORS

Institutional-grade, asset-backed opportunities.

Private credit strategies supported by disciplined underwriting, clear security structure, and risk controls.