The landscape for alternative asset investment is expansive, offering a wide array of options with varying risk-return profiles. Investors turn to alternative assets for broader diversification, enhanced risk-adjusted returns, capital preservation, and income generation. Exploring local and global alternative asset markets can unlock the potential for diversified portfolios, helping to withstand varying market conditions and capitalise on emerging opportunities.
Download Investment Manager Overview BrochureFounded in 1999, Arnott Capital is an absolute return manager focused on global equity long short investing with a thematic lens. Arnott Capital primarily invests in mid, large and mega caps in developed markets with the aim of producing above average returns with below average drawdowns.
Bell Asset Management is a specialist boutique global equities investment manager focused on delivering long-term growth through active management in the large, small and mid-cap sectors. The highly experienced and stable investment team has been investing in global equities on behalf of investors for over 20 years.
CBRE Investment Management is a prominent global firm specialising in real assets investment management. As an independently operated affiliate of CBRE Group, Inc., the multinational corporation has over 100,000 employees serving clients in more than 100 countries. The investment manager focuses on global real estate and infrastructure investments, covering both listed securities and unlisted investments.
Founded in 2019, Conscious Investment Management (‘CIM’) is a specialist Australian impact investment fund manager. CIM is focused on investing into real assets that address some of the largest challenges relating to environment and climate, health and education, and social infrastructure. To date, CIM has achieved meaningful impact in the capital deployed into social and affordable housing, specialist disability accommodation, sustainability solutions and social impact bonds.
Goldman Sachs Asset Management (‘GSAM’) is a leading alternative asset manager, providing investment and advisory services to the world's top institutions, financial advisors, and individuals. Since 1996, the GSAM Private Credit team has successfully navigated global credit markets, adapting to economic cycles and thematic shifts. This extensive experience provides investors with a proven, stable, and resilient approach to private credit.
Founded in Melbourne in 2013, Jamieson Coote Bonds (‘JCB’) is a privately owned specialist government bond manager. JCB’s objective is to provide investors with genuine portfolio defense and liquidity across all market cycles through investment in global and domestic high grade government bonds.
In 1976, KKR established itself as a pioneer of an entirely new asset class – private equity. Today, KKR is one of the world’s leading global private markets firms, recognised for its ability to navigate market cycles and generate strong risk-adjusted returns for its investors.
An alternative investment manager founded in 2006, New Holland Capital specialises in absolute return investment strategies across the liquidity spectrum. The multi-portfolio manager hedge fund strategy focuses on low beta return streams that can complement other assets.
Redwheel is a global investment manager with expertise in specific fields – one of those being emerging and frontier market equities. Redwheel pursues an idea-focused, rather than index-driven approach to investing which allows them to actively allocate capital across regions and countries irrespective of index weights. Globally integrated research combines top-down macro and thematic insights to dynamically inform the bottom-up perspective.
Established in 2018, Revolution Asset Management is a specialist private credit manager within the Australian and New Zealand private debt market. Their philosophy centers on capital preservation, supported by a disciplined process aimed at delivering targeted returns with low volatility. This approach focuses on three key sub-sectors: private company and leveraged buyout debt, public and private asset-backed securities, and real estate debt.
Founded in 2019, Sage Capital is a specialist Australian equities long short investment manager with an investment process developed over 27 years. Sage Capital utilises a style and cycle neutral investment process that combines both quantitative and fundamental research, with the aim of providing a superior risk-return trade-off and more consistent returns to investors over time.
Key investor information including fund reports and updates, disclosure documents and application forms as well as annual financial statements can be found here.
This information is for professional and wholesale investors only as defined in the Corporations Act 2001 (Cth) ('Corporations Act’).
This information has been prepared by Channel Capital Pty Ltd ACN 162 591 568 AR No. 001274413 ('Channel'), a distribution partner for Arnott Capital AFSL 233743 ACN 086 081 889, Bell Asset Management Limited ABN 84 092 278 647 AFSL 231091 ('BAM'), Conscious Investment Management Pty Ltd ACN 630 131 476 AR No. 1275316 ('CIM'), JamiesonCooteBonds Pty Ltd ACN 165890 282 AFSL 459018 ('JCB'), Sage Capital Pty Ltd ACN 632 839 877 AR No. 001276472 ('Sage Capital'), Revolution Asset Management Pty Ltd ACN 623 140 607 AFSL 507353 ('RAM'), New Holland Capital LLC ('NHC'), Kohlberg Kravis Roberts & Co. L.P ('KKR'), and RWC Asset Management LLP ('Redwheel').
Channel Investment Management Limited ACN 163 234 240AFSL 439007 ('CIML') is the trustee or responsible entity and issuer of units for the Arnott Opportunities Trust, CBRE Global Real Assets Fund ARSN 640 366301, CC JCB Active Bond Fund ARSN 610 435 302, CC JCB Global Bond Fund ARSN 631 235 553, CC JCB Dynamic Alpha Fund ARSN 637 628 918, CC Redwheel Global Emerging Markets Fund ARSN 630 341 249, CC Redwheel China Equity Fund ARSN 656 117 421, CC Sage Capital Equity Plus Fund ARSN 634 148 913, CC Sage Capital Absolute Return Fund ARSN 634 149 287, KKR Private Equity (K-PRIME) Fund (AUD) ARSN 666 531 184, KKR Private Infrastructure (KIF) Fund (AUD) ARSN 673 739 430, West Street European Private Credit Fund (AUD) ARSN 676 298 641, West Street Private Infrastructure Fund (AUD) ARSN 678 090 625, Revolution Private Debt Fund II and Revolution Wholesale Private Debt Fund II, New Holland Tactical Alpha Fund (AUD) and acts as the distributing partner for Bell Global Equities Fund, Bell Global Emerging Companies Fund – Class A, and Conscious Investment Management Impact Fund and Social Housing Fund 2. MARQ Private Funds Pty Ltd ACN 604 351 591 AFSL 473984 is the trustee and issuer of units in Conscious Investment Management Impact Fund and Social Housing Fund 2. The Trust Company (RE Services) Limited (Trust Co) ABN 45 003 278 831, AFSL 235150 is the responsible entity and issuer of units for the Bell Global Equities Fund and Bell Global Emerging Companies Fund. Channel Capital Pty Ltd ACN 162 591 568 AR No. 001274413 is responsible for distributing the funds and is the holding company of CIML. RAM is the appointed investment manager for the Revolution Private Debt PIE Fund (NZD) (‘PIE Fund’) and FundRock NZ Limited is the issuer and manager of the PIE Fund. Refer to https://www.fundrock.com/fundrock-new-zealand/ for more information. The PIE Fund is intended for the exclusive use of wholesale investors, as defined by the Financial Markets Conduct Act 2013.
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