EVERYTHING YOU NEED TO KNOW ABOUT

Cortland Credit  Strategies RRSP 

 
 
The Cortland Credit Strategies RRSP ("CCSRRSP") provides an opportunity to investors to acquire units of the firms flagship fund, Cortland Credit Strategies LP, within a registered plan.

5.31%

Return
Since Inception

0.37%

Portfolio
Volatility
 

Fund Strategy

1.

Provide a stable income investment opportunity by acquiring a portfolio of diversified short-term private debt, with peripheral exposures to short-term mortgages and public high yield and corporate/government securities.​

2.

Focus on short-duration debt instruments to reduce interest rate sensitivity and achieve the Fund’s liquidity objectives.

3.

Execute origination strategies within robust Portfolio Management Guidelines, Investment Controls, and Restrictions to provide prudent diversification while delivering superior risk-adjusted returns.

4.

Apply stringent investment review platform employing fundamental bottom-up analysis to select only companies with lower risk of default and to maximize protection through the capital structure.

October 31, 2022

Asset Class: Private Debt

Date of Inception: July, 2016

AUM: $105.66 MM

Management Fee of Underlying Fund: 0.45%

Operations/Underwriting Expense of Underlying Fund: 1.70%

Distribution Frequency: Monthly

Fundserv Codes

CCSRRSP - F Series: CCG200

CCSRRSP - A Series: CCG202

Fund Details

Private Debt Investing

Tax Efficient
Low Volatility
Portfolio Diversification
 

CCSRRSP - F Series Performance Since Inception

RRSP October 2022.jpg
 

Fund Facts

To access latest Offering Memorandum and Subscription Agreement, please use our Advisor Portal or contact us below.

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