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
ASCF Premium Capital Fund provides medium term 1st mortgage loans to a maximum Loan to Valuation Ratio (LVR) of 70% for a maximum term of 24 months on residential and commercial property. Full valuations required on all loans. The Fund aims to pay investors between 6.35% - 7.00% per annum depending on their investment term.
Key Terms
Status:
Open
Inception Date:
Mar 2020
Strategy:
Private Debt/Mortgage
Style:
N/A
Geography:
Australia
Domicile:
Australia
Investors:
Retail
Min. Investment:
AU$ 5,000
Distributions:
Monthly
Applications:
Daily
Fund Size:
AU$ 28.7177m
Management Fee:
N/A
Manager FUM:
AU$ 319.64m
Performance Fee:
N/A
Key Statistics
Fund
Index*
Fund
Index*
Aug 2026:
0.58%
-0.22%
Sharpe1:
9.93
-0.46
1 Year:
7.02%
0.57%
Sortino1:
N/A
-0.60
3 Years2:
6.96%
3.32%
Best Month1:
0.63%
3.36%
5 Years2:
6.25%
-0.13%
Worst Month1:
0.32%
-3.75%
Inception1,2:
5.94%
0.10%
Volatility1,2:
0.28%
4.98%
Up-Capture1:
48%
N/A
Down-Capture1:
-46%
N/A
*Bloomberg AusBond Composite 0+ Yr Index, 1Since Mar 2020, 2Annualised
General Notes
Performance shown is the aggregate return for all investors across all investment terms (3, 6, 12 and 24 months).
Redemption notice is 1-3 months depending on investment term.
Cumulative Returns
Fund Index
ASCF Premium Capital Fund - Cumulative Performance vs Bloomberg AusBond Composite 0+ Yr Index
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 Premium Capital Fund
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.