Investment Strategy

We provide an alternative credit strategy focused primarily on the defensive Asian Real Assets sectors, which offer investors attractive risk adjusted returns, achieved through an optimal mix of downside protection, strong contracted returns and equity upside potential. Our strong origination and investment platform is complemented by a group of blue-chip strategic sponsors, which allows us to provide intermediate financing that is appropriately priced and structured to fit the financing needs of real asset owners.

We provide investors the opportunity to invest alongside blue-chip Asian institutional sponsors, with the expectation of sound underlying credit fundamentals and well-mitigated risk profiles.

Sector Coverage

Real Assets

Our team has deep experience and expertise in structuring investments across the real asset sectors. We source for global opportunities in the real asset sub-sectors including infrastructure, energy and natural resources, real estate, and transport and offshore marine. This broad sector coverage gives us the flexibility to pursue prospects with favourable risk-reward profiles for our investors while our extensive network in the real asset space provides access to a continuous and high-quality deal pipeline.


  • Power generation
  • Renewables
  • Waste and wastewater treatment
  • Telecommunications
  • Tollroads
  • Air and seaports
  • Education
  • Healthcare
Energy and Natural Resources

  • Terminals
  • Pipelines
  • Mining
  • Oil and gas assets
Real Estate

  • Residential buildings
  • Commercial buildings
  • Logistics and industrial facilities
  • Data centres
Transport and Offshore Marine

  • Maritime vessels
  • Offshore marine
  • Rolling stock
  • Aviation