Investors who want superior risk-adjusted returns in a senior debt structure with regular income, low volatility, low correlation to other asset classes, and capital preservation.
10-15% net per annum.
6-year term (closed-end Fund).
No, given the “closed-end” nature of the Fund.
Yes, Quarterly “current income” distributions.
$500 Canadian million to $750 Canadian million in commitments.
$5 Canadian million in commitments.