Client Portal

About us

The Peer Capital Partners Credit Fund provides accredited investors with exclusive opportunities to invest in commercial, residential and rural loans secured by first and second ranking real property mortgages in Australia.

Each loan will exhibit its own unique risk and return profile. Factors affecting the risk and return profile of a given loan includes (but is not limited to) the security property, term of the loan, whether it is a registered or unregistered mortgage and the borrower. With Peer Capital Partners Credit Fund, you get to choose which loans to invest in according to your personal risk appetite.*

Key features of the Peer Capital Partners Credit Fund include:

   Reporting & Transparency

The Fund manager will provide annual unit holder and tax statements. These reports allow investors to view details of their investment and the cost and returns of investing through the Fund.

♦     Professional Management & Accountability

The Fund is managed by a team of experienced financial services professionals with commercial lending experience, both privately and through major Australian and International banks. The management of the Fund is overseen by an independent Trustee to ensure compliance with the relevant governance framework.

    Access & Control*

Investors get access to a diverse range of investment opportunities and have the opportunity to select which loans to invest in through the acquisition of specified loan units.

    Returns

Investors have the opportunity to earn attractive returns.  The target rate of return is disclosed at the outset in the relevant Loan Memorandum. Estimates of the range of target returns for particular types of loans are disclosed in the Information Memorandum.

    Privacy

All Investor information collected will be held in accordance with our Privacy Policy.

 

 

 

 

Disclaimer

This information refers to investments facilitated by the Peer Capital Credit Fund Fund . Any person seeking to make an investment should review the relevant Information Memorandum and seek legal, financial and taxation advice. The IM for the Fund is available upon request by email to info@peercapitalpartners.com.au. The manager of the Fund is Peer Capital Partners Pty Ltd ACN 621 660 213, an Authorised Representative number 1259788 of MSC Advisory Pty Ltd  ACN 607 459 411, AFSL 480649. The Trustee of the fund is Melbourne Securities Corporation Ltd ACN 160 326 545 AFSL 428289. This product is not a bank deposit. An investment may achieve a lower than expected returns and investors risk losing some or all of their principal investment. Past performance is no indication of future performance and actual returns will be particular to individual investments as describe in transaction specific Supplementary Information Memorandums. Please refer to the disclaimers link at the bottom of this page for the full disclaimers associated with the content on this site.

Peer Capital Partners Pty Ltd ACN 621 660 213, AFSL  authorised representative number 1259788, is the operator of this website. The information shown on this website is general information only. It does not take into account your personal objectives, particular circumstances, investment objectives, financial situations or needs and is not intended to constitute investment, legal or taxation advice.
The information obtained through this website should not be relied upon as a substitute for detailed financial advice or used as a basis for making investment or other decisions. Accordingly, before making any decisions, taking any action or refraining from taking any action, you need to consider whether this information is appropriate to your objectives, circumstances, financial situations and needs. Peer Capital Partners recommends you seek independent professional advice. You should also obtain a copy of the information memorandum and relevant loan memorandums before making any financial decisions in relation to these products or services.