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Monark High Yield Debt Fund – Series 3

The Monark High Yield Debt Fund – Series 3 is a diversified portfolio of Monark’s highly regarded subordinated secured property debt transactions, structured to provide a target internal rate of return of 15% per annum (after fees and costs) on net called capital (being drawn funds net of capital repayments). The Fund will capitalise on Monark’s experience and proven ability to understand and manage risk to create an asymmetric outcome for investors, with the objective of providing a significant return believed to be well in excess of the risks required to achieve this.

Key Features

Access to a portfolio of Monark’s highly regarded subordinated secured debt transactions.

Strong Target IRR of 15% per annum (after fees and costs) on net called capital (being drawn funds net of capital repayments) believed to be well in excess of the risks required to achieve this.

Fund performance expected to be generally uncorrelated with volatile public investment markets providing potential for portfolio diversification.

Significant seed portfolio providing visibility over a material part of the Fund’s portfolio.

Focus in the Australian ‘middle property market’ – mid-sized projects underpinned by significant purchaser demand which in turn tend to provide valuable security and reduced exist risk.

Investor alignment with sizeable investment in the Fund made by Monark shareholders and executives on the same terms, and in the same unit class – a true ‘partners fund’.

Simplify investing with Monark – one investment, one statement.

Preferred access to direct investments – those not taken up by Fund or subsequently sold down.

Partnering with an experienced, established real estate financier and investor with an unblemished track record.

Key Documents

Quarterly Investor Update

The first quarter update will be issued in late January 2025