
Proudly servicing eligible wholesale investors
Strategic
Investments for
Wealth Growth
Premium fund management services tailored to high-net-worth
individuals and institutional investors. Our disciplined approach
delivers consistent returns in all market conditions
Our Investment Products
Premium Fund Selection
Curated funds designed to meet diverse investment goals, from capital preservation to aggressive growth.

Class A Units
Class A Units
Focused on stable income generation for wholesale investors
Risk Level: Very Low
Investment Horizon: Medium-term

Class AA Units
Class AA Units
Combining income distribution with potential for capital growth.
Risk Level: Low
Investment Horizon: Medium-term

Class B Units
Class B Units
Offering higher liquidity through cash and short-term money market exposure.
Risk Level: Extremely Low
Investment Horizon: Short-term

Investment Committee
The Investment Committee brings together over five decades of senior experience across banking, structured finance, and capital markets. Members have led securitisation and debt financing businesses at major banks, rating agencies, and advisory firms, with proven expertise in credit assessment, portfolio construction, and risk management.
Their combined backgrounds span mortgages, institutional funding, insurance risk, and operational governance, ensuring disciplined investment selection and resilient portfolio oversight. This breadth of capability underpins a strong, institutional-grade approach to investment management.
Professionally managed by structured finance and credit risk experts.
Arthur Karabatsos — MSc, BSustodian
Arthur is a seasoned credit, securitisation and structured finance professional with multi-discipline background gained across top tier organisations.
Arthur has previously worked at Moody’s as a Vice President and has received three Moody’s awards for research excellence, was Managing Editor of the structured finance newsletter that he launched and established the on-going systematic monitoring of structured finance credit ratings within Asia pacific – ex-Japan.
Lydia Lee — MBA
Lydia is a finance professional with extensive experience in portfolio operations, credit assessment and asset origination within fixed income sector. She has managed credit teams responsible for credit modelling, valuations, compliance, and risk assessment.
Lydia holds an MBA and multiple finance qualifications and an RG 146-compliant Diploma of Financial Planning, providing her with strong technical knowledge in financial analysis, investment principles, and advisory standards.
Top-tier partners ensure professional, secure, and compliant fund operations.
Custodian
Holds the Fund’s investments, cash, and other assets. Operates under a custody agreement with the Trustee.
Australian Legal Adviser
Provides legal advice to Trustee and Manager regarding fund operations and compliance.
Manager
Responsible for the day-to-day management and investment reports of the Fund.
Key Advantages

Experienced Team
Backed by decades of expertise from leading banks and rating agencies.

Capital Preservation First
A disciplined framework prioritising security of capital before returns.

Diversified Portfolio
Exposure across credit, RMBS, ABS, corporate debt, and structured finance.

Consistent Income
Monthly distributions delivering reliable cash flow to investors.
Investment Strategy
Diversified Credit, Disciplined Risk Management
Mirastar focuses on delivering capital preservation and regular income through a diversified investment portfolio.
- Investments include rated credit, RMBS, ABS, corporate debt, private lending, and structured finance instruments.
- All investments are denominated in AUD, primarily within the Australian market.
- The Manager applies a proprietary risk management framework, including stress testing and cashflow analysis, prioritising capital preservation before seeking returns.
How We Deliver
Delivering value through disciplined management, market access, professional execution, and long-term partnership.
Capital Management
Ensuring Stability and Liquidity
Professional cashflow allocation
Regular distributions and liquidity planning
Dynamic matching of assets and liabilities
Efficient settlement and custody processes
Market Access
Connecting Investors to Opportunities
Direct access to institutional-grade credit
Coverage across RMBS, ABS, and corporate debt
Private lending and structured finance solutions
Strong networks in both local and global capital markets
Investment Execution
From Screening to Portfolio Oversight
Rigorous project screening and structuring
Risk layering and transaction structuring
Multi-channel portfolio management
Careful review and approval by the Investment Committee
Partnership & Transparency
Building Trust for the Long Term
Co-investment mechanisms aligning interests with investors
Ongoing disclosure and clear communication
Transparent fee and governance framework
A partnership designed for sustainable wealth growth



