Strategy

Our investment approach focuses on disciplined capital allocation across metro Australian markets.

Mandate

Asset‑backed private credit and selective co‑investment in metropolitan Australia.

Geography

Sydney, Brisbane, and Melbourne with a preference for core‑plus and value‑add dynamics.

Instruments

Senior secured, preferred equity, mezzanine, and structured capital as appropriate.

Risk Controls

Concentration limits, stringent LVRs, sponsor alignment, and third‑party validation.

Pipeline

Opportunistic with an emphasis on quality, sponsor capability, and exit clarity.

Investment Process

1

Origination

Quality deal flow through established networks

2

Due Diligence

Comprehensive analysis and third-party validation

3

Execution

Structured capital with clear exit pathways

Request Investment Memorandum (IM)

Detailed strategy information and performance data available to wholesale investors following eligibility checks.