Ferndale Capital is an active mid-market Fund Manager that is focused on unlocking value and maximising returns from one of the world’s most resilient investment classes, Australian Commercial Real Estate. Guided by core principles of transparency and alignment, Ferndale co-invests in each fund and participates on the same economic terms as all investors.
With a track record of delivering strong risk adjusted returns, investors can choose from Ferndale’s Mortgage Income Fund (Pooled), Debt Fund (Contributory) or a Partners Fund (Equity) to align with specific risk/return profiles.
Only projects that meet our institutional-grade due diligence and credit criteria are considered.
History has taught us that investing in commercial real estate requires knowledge, expertise and discipline, key attributes of Ferndale’s Investment Management team. While COVID has dislocated markets globally, our commercial real estate sector has shown incredible resilience and has become a fundamental part of all institutional and private portfolios.
Ferndale Capital investors include high net worth individuals, financial advisors, and family offices all of whom benefit from Ferndale’s proven strategy, disciplined process, and strong governance.
Maintaining our flawless capital preservation record is at the centre of all our investment decisions.
We target returns of up to 8.9%^ pa paid monthly in our debt funds while equity in quality projects offers investors the opportunity to participate in the development margin
We are Independent, Innovative, and Investable.
Peter Quattro – CEO
Varuna Gunatillake – Head of Investor Capital
Billy Chok – Head of Lending