Eastwood Securities Mortgage Fund has been operating as a structured Mortgage Fund for more than ten years. Eastwood Securities Mortgage Fund is a conservative, non pooled, property mortgage based investment scheme. The Fund is registered with the Australian Securities and Investments Commission (ASIC) as a managed investment scheme (ARSN 146 451 792). The Eastwood Securities Mortgage Fund is designed to provide investors with an opportunity to obtain consistent returns for the period of investment and receive monthly income distributions from registered first mortgage loans. The Fund’s objective is to maximise investment returns from first mortgage lending while ensuring a continuous level of appropriate capital security.
Private loans secured by registered mortgage over real property is a growing investment opportunity in Australia.
Eastwood Securities Mortgage Fund combines more than 100 years of experience with staff specialising in mortgage fund lending, debt arrangement and the management and control of private mortgage investments across Australia.
The Fund offers investors the opportunity to invest in mortgages over real estate located throughout Australia. The Investment Manager, Eastwood Securities Pty Ltd has considerable experience in managing mortgage investments.
Each Mortgage is registered in the investor’s name with Eastwood noted as the Mortgage Manager. Eastwood is responsible for performing due diligence on all investment opportunities and preparing a Supplementary Product Disclosure Statement (SPDS) providing the investor with relevant investment evaluation material for each specific loan and security.
The security property will be real estate incorporating Residential Housing, Commercial Property, Retail Property, Industrial Premises and Vacant Land in Urban, Regional and Rural settings. The mortgage is registered in a government registry.
This information refers to investments facilitated by the Eastwood Securities Mortgage Fund ARSN 146 451 792. Any person seeking to make an investment should review the Product Disclosure Statement and seek legal, financial and taxation advice. The manager of the Fund is Eastwood Securities Pty Ltd ACN 143 030 540, a Corporate Authorised Representative (number 386369) of MSC Advisory Pty Ltd (ACN 607 459 441, AFSL 480649). The Responsible Entity and Trustee of the fund is Melbourne Securities Corporation Ltd ACN 160 326 545 AFSL 428289.
This website contains general information only and does not take into account any person’s objectives, financial situation or needs and accordingly does not constitute personal advice for the purposes of section 766B(3) of the Corporations Act 2001. For detailed information about the Fund, refer to the Fund Product Disclosure Statement available as a downloadable pdf from this website.
None of the Fund Manager, the Trustee, MSC Advisory or any of their officers, advisers, agents or associates guarantees in any way the performance of the Fund. The content of this website is current at the time of publication and may be amended or revoked by the Fund Manager at any time.
This product is not a bank deposit nor is it a pooled mortgage fund. An investment may achieve a lower than expected return and investors risk losing some or all of their principal investment. Past performance is no indication of future performance and actual returns will be particular to individual investments as described in transaction specific Supplementary Product Disclosure Statements.