Fund Overview
The Fund offers three differentiated investment horizons (Series A, B and C) with corresponding return profiles within a unified governance and deployment framework. Funds will be deployed into selectively acquired distressed, value add and off market land development opportunities across Sydney’s key growth corridors. Although the RBA commenced an easing cycle in early 2025, refinancing pressure and capital constraints continue to force developers and landholders to divest assets at discounted levels. These conditions have resulted in a sustained increase in motivated vendor and distressed transactions throughout 2025 and 2026.
Series A
12%
P.A
Paid Monthly
16%
P.A
Paid at Maturity
Term
12 months
Maturity Date
26 August 2027
Fund Type
Opportunity Fund
Series B
13%
P.A
Paid Monthly
14.5%
P.A
Paid Annually
17%
P.A
Paid at Maturity
Term
18 months
Maturity Date
26 February 2028
Fund Type
Opportunity Fund
Series C
14%
P.A
Paid Monthly
15.5%
P.A
Paid Annually
20%
P.A
Paid at Maturity
Term
30 months
Maturity Date
26 February 2029
Fund Type
Opportunity Fund
Asset-Backed Security
- Preferred Equity in Land Acquisitions
- Specific Security Agreements Over Land Assets
- Specific Security Agreements Over Developer’s Holding Entities
- Corporate Guarantee & Indemnity
- Personal Guarantee & Indemnity
Returns Calculator
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