Oaktree Strategic Credit Fund (AUD)

Private Credit Income Solution

Access to Private Credit Opportunities

Oaktree Strategic Credit Fund (AUD) ARSN 679 750 004 (the "Fund" or “Oaktree Strategic Fund”) invests substantially all its assets in the Oaktree Strategic Credit Fund (FCP) (the "Underlying Fund"), being a sub-fund of the BOWSAF Intermediate Fund FCP-RAIF (the "BOWSAF FCP-RAIF"). The Underlying Fund invests all or substantially all of its assets in Oaktree Strategic Credit Fund, a Delaware statutory trust formed on 24 November 2021 and structured as a non-diversified, closed-ended management investment company (the "Master Fund"). The Master Fund is a perpetually offered, non-listed business development company (BDC) that invests in privately negotiated loans to US companies.

The Fund provides access to Oaktree’s deep expertise identifying income-generating credit opportunities and can offer wholesale investors several potential benefits. 

Stable Current Income and Long-Term Capital Appreciation Potential
'All-Weather' Flexibility
Diversified Portfolio
Reduced Interest Rate Sensitivity

Leveraging Oaktree's Credit Expertise

Global Leader in Alternative Investing

Oaktree's global AUM has grown to
$209 Billion
and includes $149 billion of credit assets under management.

Competitive Private Credit Platform

Forty-eight dedicated professionals leverage the insights of
266
credit experts and employ a highly selective approach.

Unwavering Focus on Risk Management

Oaktree's time-tested and unifying investment philosophy spans
25+ Years
and emphasizes risk control and consistency.

Watch Armen Panossian Introduce The Fund


Learn how the Fund applies a flexible, "all-weather" approach across the private and public debt spectrum, allowing us to dynamically allocate in response to changing market conditions. Oaktree's unwavering focus on risk management throughout the process is what we believe is essential to achieving the best outcomes in all markets.

Literature

The Manager Minute

Listen to Oaktree's Raghav Khanna and Clark Koury review performance of the credit market during Q2 2025 and how this impacted the Fund's portfolio.

 

Q2 2025 Shareholder Update

This podcast is for direct and indirect shareholders of Oaktree Strategic Credit Fund.

The Oaktree Strategic Credit Fund (AUD) is an Australian registered managed investment scheme that is expected to invest substantially all of its assets in the Oaktree Strategic Credit Fund (FCP), which in-turn invests in the Oaktree Strategic Credit Fund. 

Select information regarding the Oaktree Strategic Credit Fund (AUD) ARSN 679 750 004 (the ‘AU Fund’), Oaktree Strategic Credit Fund (FCP) (the ‘Underlying Fund’) and the Oaktree Strategic Credit Fund (the ‘Fund’).

Channel Investment Management Limited ABN 22 163 234 240 AFSL 439007 (‘CIML’) is the responsible entity and issuer of units for the AU Fund. The AU Fund is an Australian registered managed investment scheme that is expected to invest substantially all of its assets into the Underlying Fund, which in-turn invests in the Fund. The investment manager of the Fund is Oaktree Fund Advisors, LLC (‘Adviser’ and together with its affiliates, ‘Oaktree’). Unless otherwise indicated, all information contained in this document is as of the date on the webpage for this presentation (the ‘Presentation’). No reliance should be placed on the information and opinions expressed in this Presentation. CIML and Oaktree make no representations or warranties, express or implied, about the information provided herein and assumes no duty or obligation to update any information provided herein.

This Presentation relating to the AU Fund, has been produced by Oaktree and is provided to an investor or a prospective investor (the ‘Investors’) of the AU Fund for informational purposes only. Investors should note that CIML did not participate in the creation of this material beyond provision of information related solely to CIML or the AU Fund, including Fund performance data and related disclosures. CIML neither endorses nor approves content in this Presentation, other than such data. This Presentation contains important disclosure material specifically referable to the Fund provided by Oaktree. Investors in the AU Fund will not be investors in the Underlying Fund or the Fund, will have no direct interest in or voting rights in relation to the Underlying Fund or the Fund, and will have no standing or recourse against the Underlying Fund, the Fund, Oaktree, or any of their respective officers, trustees, directors, members, partners, shareholders, employees, agents or affiliates (or any officer, director, member, partner, shareholder, employee or agent of any such affiliate). Investors in the AU Fund will be subject to fees and expenses referable to the AU Fund, the Underlying Fund and the Fund. As a result, return related information presented in relation to the Fund will need to be considered having regard to fees and expenses in relation to the AU Fund and the Underlying Fund. 

CIML neither guarantees the accuracy, completeness, or timeliness of the information within the Presentation nor adopts, endorses, or accepts any responsibility for the content, interpretations, errors, or omissions therein. Where CIML relies on third parties to provide information used in this document, CIML, its directors and its employees, are not responsible for the accuracy of that information. The Presentation is not intended as legal, tax, accounting, securities, investment advice, or an offer or solicitation for any financial sale of units in the AU Fund. Investors should not solely rely on this for investment decisions and are advised to consult their financial, legal, or tax professionals. Decisions based on the Presentation are the user's responsibility. The content pertaining to the Fund reflects Oaktree views and beliefs. An investor should, before making any investment decisions, consider the appropriateness of the information in this communication, and seek professional advice having regard to these matters, any relevant offer document and in particular, you should seek independent financial advice. For further information and before investing, please read the Product Disclosure Statement (‘PDS’) and Target Market Determination available from osc.brookfieldoaktree.com/aud.

This is a marketing communication. It must be read alongside the AU Fund’s PDS as required. The information here is illustrative, focusing on the AU Fund and the Fund. Returns for periods greater than one year are annualised. Past performance is historical and not a reliable indicator of future performance. There can be no assurance that the AU Fund will achieve results comparable to those of any of CIML’s or Oaktree’s prior funds or be able to implement its strategy or achieve its investment objectives, including due to an inability to access sufficient investment opportunities. 

References in the Fund Presentation 
All references to "we", "us", or "our" in the Presentation pertain to the Fund.

Confidentiality and Use of Presentation 
This Presentation is being provided on a strictly confidential basis and on a non-reliance basis solely for the information of those persons to whom it is given for their sole and exclusive use in assessing their investment (or a proposed investment) in the AU Fund and may not be used for any other purpose (the ‘Offer’). The materials, including the information contained herein, may not be copied, reproduced, republished, posted, transmitted, distributed, disseminated or disclosed, in whole or in part, to any other person in any way without the prior written consent of CIML or Oaktree which may be withheld in its absolute discretion. By accepting this Presentation, you agree that you will comply with these confidentiality restrictions and acknowledge that your compliance is a material inducement to CIML or Oaktree providing this Presentation to you. 

No Legal Obligations and Associated Risks 
A COPY OF THE AU FUND’S PDS MUST BE MADE AVAILABLE TO YOU IN ADVANCE OF ANY PURCHASE OF UNITS IN CONNECTION WITH THE OFFERING IN THE AU FUND. This Presentation does not constitute an offer to sell, or a solicitation of an offer to buy, any securities or any investment advice, nor does it form part of any contract for the sale of any interest in the AU Fund or a commitment to undertake a transaction. Nothing herein is intended as a solicitation of the intended recipient or any other investors in any fund or account managed by CIML or Oaktree, nor is it a solicitation to provide any services. Nothing in this Presentation creates any legal binding obligations on the part of CIML or Oaktree. No representation is made that an Investor will or is likely to achieve results similar to those shown in this Presentation. All investments involve risk, including the total loss of principal.

Fund Rating

Zenith Recommended Rating
Zenith Recommended Rating

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Insights

Browse the latest perspective on alternative investment markets, macro trends and more.

Financial Advisors

Contact Brookfield Oaktree Wealth Solutions for more information about how to invest in the Oaktree Strategic Credit Fund (AUD).

The information has been prepared solely for (i) “wholesale clients” within the meaning of section 761G of the Corporations Act 2001 of Australia or “wholesale investors” within the meaning of the Financial Markets Conduct Act 2013 of New Zealand and (ii) investors investing through an investor directed portfolio service, master trust, wrap account or an investor directed portfolio service-like scheme in Australia. Prospective investors need to understand the investment risks involved before investing in the Fund and indirectly, the Underlying Fund and the Master Fund.

All investments carry risk. Different strategies can carry different levels of risk, depending on the assets that make up that strategy. The value of investments and the level of returns will vary. Future returns may differ from past returns and past performance is not a reliable guide or indicative of future performance.

Neither CIML, nor Oaktree, their directors, associates nor any of their related bodies guarantee the success of the Fund, Underlying Fund or the Master Fund, the repayment of capital or any particular rate of capital or income return. Investments in the Fund are not guaranteed or underwritten by CIML or Oaktree or any other person or party and you may lose some or all of your investment.

Neither CIML nor Oaktree, their officers, or employees make any representations or warranties, express or implied as to the accuracy, reliability or completeness of the information contained in this website and nothing contained in this website is or shall be relied upon as a promise or representation, whether as to the past or the future. Past performance is not a reliable indication of future performance. This information is given in summary form and does not purport to be complete. Information on this website should not be considered advice or a recommendation to investors or potential investors in relation to holding, purchasing or selling units in the Fund and does not take into account your particular investment objectives, financial situation or needs. Before acting on any information you should consider the appropriateness of the information having regard to these matters, any relevant offer document and in particular, you should seek independent financial advice. For further information and before making any decision to invest, you should read the Fund’s latest Product Disclosure Statement (PDS) and Target Market Determination (TMD) on this website.

The Zenith Investment Partners (ABN 27 103 132 672, AFS Licence 226872) (“Zenith”) rating (CHN2669AU assigned 12 June 2025) referred to in this piece is limited to “General Advice” (s766B Corporations Act 2001) for Wholesale clients only. This advice has been prepared without taking into account the objectives, financial situation or needs of any individual, including target markets of financial products, where applicable, and is subject to change at any time without prior notice. It is not a specific recommendation to purchase, sell or hold the relevant product(s). Investors should seek independent financial advice before making an investment decision and should consider the appropriateness of this advice in light of their own objectives, financial situation and needs. Investors should obtain a copy of, and consider the PDS or offer document before making any decision and refer to the full Zenith Product Assessment available on the Zenith website. Past performance is not an indication of future performance. Zenith usually charges the product issuer, fund manager or related party to conduct Product Assessments. Full details regarding Zenith’s methodology, ratings definitions and regulatory compliance are available on our Product Assessments and at https://www.zenithpartners.com.au/our-solutions/investment-research/regulatory-guidelines/

Terms and Conditions

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The information, products and services contained in this website are intended and only available to (i) “wholesale clients” within the meaning of section 761G of the Corporations Act 2001 of Australia or “wholesale investors” within the meaning of the Financial Markets Conduct Act 2013 of New Zealand and (ii) investors investing through an investor directed portfolio service, master trust, wrap account or an investor directed portfolio service-like scheme in Australia. It is not intended for the general public or individual investors residing in or outside of Australia and New Zealand. By accepting these Terms and Conditions, you confirm your qualifications under the securities legislation of your state or territory of residence to invest in Oaktree Strategic Credit Fund (AUD).

The materials contained in this website is confidential and may not be reproduced, distributed or published. This website is for information purposes only and does not constitute an offer to sell or a solicitation of an offer to buy any security or investment or advisory service, or a recommendation of any such security or service, that may be referenced on or through this website. No representation is given that the securities, products, or services discussed on, or accessible through, this website are suitable for any particular investor. You acknowledge that the provision of any information through this website shall not constitute or be considered investment advice. This site should not be considered as communicating any invitation or inducement to engage in investment activity in any jurisdiction.

I acknowledge that I have read, understood and agree to abide by the contents of this page and am qualified under the securities legislation of Australia, New Zealand or the state or territory I am residing in.

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