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RAM Australia Credit Fund

Providing regular income through secured Australian property credit

Flexi Account

% p.a.

Notice Account

% p.a.

6 Month Fixed Term Credit

% p.a.

12 Month Fixed Term Credit

% p.a.

High Yield Account

% p.a.

Overview

The RAM Australia Credit Fund (“RACF”) aims to provide investors with stable income through an investment predominantly in Australian property credit secured by registered mortgages in major cities. The fund provides investors with five different investment options with varying target returns and liquidity profiles based on the strategy’s investment objectives.

  • Regular income paid quarterly
  • No development finance
  • Target portfolio average loan to value of 65%
  • 6+ years track record and delivering 100% on investment objectives
  • 0% losses within credit fund and 0% drawdowns in NAV across all classes
  • Well diversified underlying mortgage portfolio with historical low arrears

Please note: an investment in this fund is not a bank deposit and is only available to wholesale clients as defined in the Corporations Act 2001 (Cth) of Australia. Redemptions are only possible if fund is liquid.

FEATURED ON ADVISER VOICE

RAM Australian Credit Fund rated ‘Superior’ by SQM Research

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Fund Information

CURRENCY AUD
MORTGAGE SERVICER Brighten Financial Pty Ltd
DISTRIBUTIONS Quarterly, Variable
INVESTMENT AMOUNT Minimum $100,000 AUD
INVESTMENT MANAGER Real Asset Management Pty Ltd
AUDITOR PKF
1 MONTH 3 MONTH 6 MONTH 1 YEAR 2 YEAR P.A. 3 YEAR P.A. 5 YEAR P.A. SINCE INCEPTION P.A. SINCE INCEPTION CUMULATIVE INCEPTION DATE
FLEXI ACCOUNT
(ON REQUEST)
0.20% 0.59% 1.18% 2.38% 2.14% 1.92% 2.05% 2.06% 14.59% NOV 17
NOTICE ACCOUNT
(90 DAYSʼ NOTICE)
0.34% 1.00% 2.00% 4.07% 3.86% 3.72% 3.61% 16.97% FEB 20
6 MONTH FIXED TERM ACCOUNT
(6 MONTH PERIOD)
0.41% 1.21% 2.43% 4.95% 4.61% 7.81% NOV 22
12 MONTH FIXED TERM CREDIT
(1 YEAR PERIOD)
0.38% 1.46% 2.95% 6.00% 5.60% 5.38% 5.26% 5.11% 39.45% NOV 17
HIGH YIELD ACCOUNT
(2 YEAR PERIOD)
0.52% 1.52% 3.06% 6.26% 6.00% 6.18% 6.59% 6.52% 37.87% MAY 19

Returns as of 31st July 2024

*Distribution rate net of management fees, which is a variable rate reviewed monthly. An investment in the Fund is not a bank deposit. The capital value and rates of return from the Fund are variable and not guaranteed and are determined by the future revenue of the Fund and may be lower than expected. Withdrawal rights are subject to liquidity and may be delayed or suspended. This document is for informational and illustrative purposes only and should not be construed as legal, tax, investment or other advice. This document does not constitute an offer to sell, or the solicitation of an offer to buy, any securities. It is open only to investors who are “wholesale clients” as defined in section 761G or 761GA of the Corporations Act 2001 (Cth) of Australia. The distribution of this document does not constitute any regulated activities by any personnel in the relevant jurisdiction where such distribution would be unlawful until the requirements of the laws of such jurisdiction have been met. All investments involve the potential for a loss of capital. Prospective investors should seek separate, independent financial and professional advice if required prior to making an investment to assess the suitability, lawfulness and risks involved. The information contained herein does not have any regard to the specific investment objectives, financial situation or the particular needs of any person. No representation or warranty, expressed or implied, is given by Real Asset Management Group or its affiliated companies or its respective directors, officers, representatives and/or employees (the “Parties”) as to the accuracy or completeness of the material, information or opinions contained in this presentation and the Parties shall have, and accept, no liability for any statements, opinions, information or matters (expressed or implied) arising out of, contained in or derived from this presentation or any omissions from this presentation, or any other written or oral communication transmitted or made available to any other party for distribution to the general public but for intended recipients only and may not be published, circulated, reproduced or distributed in whole or part to any other person without the written consent of Real Asset Management Group or its affiliated companies.

Industry Recognition

Australian Fixed Interest Finalist 2024 IMAP Managed Account Awards

Australian Fixed Interest Finalist 2023 IMAP Managed Account Awards

Australian Fixed Interest Winner 2021 IMAP Managed Account Awards

Australian Fixed Interest Winner 2020 IMAP Managed Account Awards

Australian Fixed Interest Winner 2019 IMAP Managed Account Awards

Other Asset Classes Winner

Financial Services Council Member

Responsible Investment Association Australasia Member