Opportunity Fund 07

批发债务基金

Wholesale Fund backed by Sydney residential land and developer guarantees.

Earn 12% - 20% p.a. fixed return

刚刚推出

基金概况

The Opportunity Fund 07 is a Wholesale Fund seeking to raise up to $15,000,000 from investors. Funds will be provided to a prominent and experienced residential land developer to acquire distressed, value-add and off-market land development opportunities across Sydney’s key growth corridors. These opportunities may include residential land subdivisions and other strategic land acquisitions where value can be created through rezoning, planning, development approvals, infrastructure outcomes or other land enhancement activities prior to sale or development.

Macroeconomic factors including higher interest rates, population growth and residential undersupply, are creating attractive opportunities with the potential to deliver enhanced returns. To date, the Developer has a track record of over 50 completed and current residential land subdivision projects across greater Sydney.

基金规模: $15,000,000

Investment Terms & Maturity Dates: 3 Options

12 Month Term – 27 July 2027
24 Month Term – 27 July 2028
36 Month Term – 27 July 2029

基金类型: 批发债务基金

资格: 仅限合格批发投资者。最低投资额为 $100,000。

主要特点

手拿钱的符号图标

具有竞争力的固定回报

12-Month Term
Option 1: 12.0% p.a. paid monthly
方案 2:到期时支付年息 15.5%

24-Month Term
Option 1: 13.0% p.a. paid monthly
方案 2:年薪 15.5%
方案 3:到期时支付年息 17.0%

36-Month Term
Option 1: 14.0% p.a. paid monthly
Option 2: 16.5% p.a. paid annually
方案 3:到期时支付年息 20.0%

显示测量值的简单测量图标

低风险资产类别

Residential land subdivisions and other strategic land acquisitions in established and high-growth Sydney locations. Guardian Funds considers land subdivisions as the lowest risk property asset class.

平衡与正义的象征

保守比率

我们采用保守的信贷风险比率,确保每只基金都有充足的现金保障,从而有效降低下滑风险。

带复选标记的盾牌标志

优先股的担保

投资者可获得基金的优先单位,在收入分配方面享有优先权,并享有强有力的股权保障。

象征伙伴关系或协议的握手

开发商担保

开发公司经验丰富,资本雄厚,业绩卓著,财力雄厚。开发商为投资者的资本和回报提供担保。

投资计算器

回报计算器

Opportunity Fund 07

Calculate your earnings with our investment calculator. Select the investment term, return option, investment amount and start date below.

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付款时间表

* The prescribed rate of interest is calculated daily from the selected investment start date. Amounts displayed are rounded to the nearest dollar. For the 12-month term option the maturity date is 27 July 2027. The final interest earning day is 26 July 2027. For the 24-month term option the maturity date is 27 July 2028. The final interest earning day is 26 July 2028. For the 36-month term option the maturity date is 27 July 2029. The final interest earning day is 26 July 2029. For all monthly return options across all three investment terms (12, 24 or 36 months), interest payments will be made on the 22nd of each month.

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