Oceana is a leading alternative investment management firm based in Australia with expertise in private credit and specialty real estate.
Since 2012, Oceana has provided unique investment offerings to wholesale and sophisticated investors in Australia, Asia, North America, and Western Europe.
We aim to deliver superior risk-adjusted returns through our diligence and structuring that abide by six core principles. Since inception, Oceana has placed over $2.0 billion of financial products with high net worth and institutional investors.
IN TOTAL FUNDS RAISED SINCE INCEPTION IN 2012
IN FUNDS UNDER MANAGEMENT
SUPERIOR 4 STAR HIGH INVESTMENT GRADE RATING BY SQM RESEARCH
BUSINESSES APPROVED FOR FUNDING SINCE 2016
COMBINED BUSINESS EXPERIENCE ACROSS GROUP FUNDING ENTITIES
INVESTORS SINCE INCEPTION
We put our money where our mouth is by investing in our own strategies, taking a first-loss position ahead of investor’s capital where possible.
We like to see money back in our investor’s pockets, which is why our preference is for regular cash returns over paper gains.
We celebrate collaboration and only work with market-leading service providers, investors and sponsors.
We apply rigorous underwriting standards and have an obsessive focus on risk management and downside protection.
Superior risk adjusted returns in any fund or strategy we put our name to.
We nurture talent from all sectors and invest in our people.