The leading specialist provider of private capital to the Natural Resources Sector in APAC. The Fund is capturing market share from traditional commodity banks and providing senior secured loans to the commodity sector with a focus on Tier 1 jurisdictions
10.2% : NET RETURN PER ANNUM since inception (December 2023)
The Fund provides stable, uncorrelated returns to investors by way of quarterly dividends
The Fund provides senior secured lending to the Natural resources sector with an overweight bias towards established borrowers in Australia (asset level) then Singapore (traders).
The Fund is capturing mispriced credit opportunities as traditional lenders to the commodity sector scale back.
The Fund targets consistent annualized returns of 10% - 11% net of fees (Class M).
The Fund has a quarterly cycle of subscriptions, dividends, and redemptions (post the 18-month minimum investment period).
Commodity markets face a growing liquidity squeeze as traditional trade finance banks scale back.
Private Capital is targeting the sector – attracted by a low risk profile, compelling returns, exposure to an uncorrelated asset class.
Provides investors direct access to the commodity sector via short duration working capital loans up to 1Y and longer term senior debt tranches and prepayments.
MCMIP leverages longstanding relationships and access to exceptional physical commodity deal flow to deliver stable returns.
Run by commodity professionals with over 50 years of combined industry experience.
Longstanding relationships and specialised deal making expertise across physical commodity trading, commodity financing and investments.
MCM Partners, Founded in 2012, regulated by the HK (SFC) for Capital Markets, Asset and Wealth Management.
MCM Investment Partners (MCMIIP) is the Asset Management arm. Currently managing 10 active segregated portfolio funds across multiple sectors and markets.
Terms | Class A | Class B | Class C |
Min Investment | US$ 10M+ | US$1M + | US$ < 1M |
Management Fee | 1.5% | 1.75% | 2.0% |
Performance Fee | 15% | 17.5% | 20% |
Cayman SPC
Quarterly payable in USD
NAV / Subscription / Redemption
1.5 Years fixed investment period
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