Fact Sheet - Performance as at Jul 2026
ASCF Private Fund (Wholesale)
Fact Sheet
Performance as at Jul 2026

Manager Summary

The ASCF High Yield Fund is a pooled mortgage scheme designed to offer monthly income by investing in short-term registered first and second mortgage loans secured over Australian real property. Investors earn a targeted rate from 6.75% to 7.75% on investment terms of 3, 6, 12 or 24 months, with automatic rollover unless a timely withdrawal request is lodged. 

 

Strategy Summary

The primary focus of the Fund is investing in mortgage secured investments in Australian real property via its wholly-owned sub-trust known as the ASCF Investments Fund (Sub Fund). Funds are either advanced directly via the Sub Fund or indirectly via other funds, Special Purpose Vehicles (SPVs) or a related entity of the Trustee which provides loans. It will also invest in fixed income products such as corporate bonds and notes supported by mortgage secured investments.

Key Terms

Status: Open Inception Date: Jan 2021
Strategy: Fixed Income Style: N/A
Geography: Australia Domicile: Australia
Investors: Wholesale Min. Investment: AU$ 50,000
Distributions: Monthly Applications: Daily
Fund Size: AU$ 63.3397m Management Fee: 0.00%
Manager FUM: AU$ 319.64m Performance Fee: 5.00%

Key Statistics

Fund Index* Fund Index*
Jul 2026: 0.74% 0.59% Sharpe1: 13.38 223.98
1 Year: 8.72% 6.91% Sortino1: N/A N/A
3 Years2: 8.74% 7.12% Best Month1: 0.74% 0.59%
5 Years2: 8.61% 6.15% Worst Month1: 0.48% 0.25%
Inception1,2: 8.44% 5.83% Volatility1,2: 0.18% 0.48%
Up-Capture1: 154% N/A Down-Capture1: 0% N/A
*RBA Cash Rate + 3%,   1Since Jan 2021,   2Annualised

Cumulative Returns
Fund Index

ASCF Private Fund (Wholesale) - Cumulative Performance vs RBA Cash Rate + 3%

 

Drawdowns
Fund Index

Drawdown%

 
Fund Index

Quintile Ranking vs. Real Estate Debt Peer Group (42 funds) as at July 2026

1 Year
3 Year
5 Year
7 Year
ASCF Private Fund (Wholesale)
RBA Cash Rate + 3%
Quintile Rankings display Key Performance Indicators (KPI's) against the fund's Peer Group. Each green square ranks the fund in one quintile (or 20%) of its peer group - five green squares indicate the fund is in the best quintile for each KPI. The performance of the peer group's underlying index is shown by a red dot.