Creating attractive risk weighted returns across a diversified portfolio of Australian property debt and preference equity.
Targeting RBA Cash Rate + 6% net of fees
Current Spinnaker Diversified Property Fund Metrics
(as at 15 April 2024)
Fund key metrics (by value)
Average weighted portfolio LVR of 62%
84% of investments free of construction risk
83% of investments within 50km of state capital cities
79% of investments exposed to first mortgage security
Funds average investment duration ~10 months
Fund security rankings (by value)
79% of investments exposed to first mortgage security
13% of investments exposed to second mortgages security
8% of investments in preference equity
Fund geographical distribution (by value)
12% in WA
42% in NSW
16% in ACT
20% in VIC
10% in QLD
How-to-invest
How to Invest
Get in touch to learn more about Spinnaker Capital, to discuss the current portfolio or request the Fund’s Information Memorandum.