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MOT

Metrics Income Opportunities Trust

ASX:MXT
$0.0
0.0%

NAV as at COB:

10/10/2025

$2.0029

ASX:MOT
$0.0
0.0%

NAV as at COB:

10/10/2025

$2.1680

ASX:MRE
$0.0
0.0%

NAV as at COB:

31/8/2025

$2.4182

Overview

Unique Access to a Portfolio of Private Credit Investments.

Metrics Income Opportunities Trust seeks to provide investors exposure to a portfolio of private credit investments. The Investment Objective of the Trust is to provide monthly cash income, preserve investor capital and manage investment risks, while seeking to provide potential for upside gains through investments in private credit and other assets such as Warrants, Options, Preference Shares and Equity.

‍

View Target Market Determination.

Attractive Target Monthly Returns

The Trust targets a cash yield of 7% p.a. which is intended to be paid monthly with a total target return of 8% p.a. to 10% p.a., in each case net of fees and expenses1.

1 This is a target return and may not be achieved.

Distributions

It is intended that distributions will be paid monthly. The Responsible Entity has established a Distribution Reinvestment Plan (DRP) which will allow Unitholders to reinvest monthly income distributions.

Listed
29 April 2019
ASX Code
MOT
Market Cap^2
$605,321,672
Net Asset^3
$722,908,569
Unit Price^2
$1.82
NAV Per Unit^3
$2.1680
28 February 2026
Distribution Per Unit (Cents)
092
Distribution Per Unit (%)
0.43%

2 20 min delayed ASX traded price.

3 Updated as at close of prior business day.

Why Invest in MOT?

Income Opportunities

‍

Metrics is an Australian-based alternative asset management firm specialising in direct lending to Australian companies and is an active participant in the Australian Private Credit market. We have significant experience originating, structuring, negotiating, executing, distributing and managing portfolio risk associated with investments in private credit. MOT seeks to offer investors:

  • Monthly cash income with potential to participate in upside gains
  • Access to the Private Credit market and asset class diversification
  • Experienced, credible Investment Team with a proven track record in originating and managing Private Credit investments
  • ASX market liquidity

6 Income payments depend on success of underlying investments and are at the responsible entity’s discretion.

Investment Strategy

‍

The Trust will gain exposure to the following Wholesale Funds managed by Metrics:

  • Metrics Credit Partners Secured Private Debt Fund;
  • MCP Secured Private Debt Fund II;
  • MCP Real Estate Debt Fund; and
  • MCP Credit Trust.

By gaining exposure to these Wholesale Funds, The Trust may provide investors with exposure to the full spectrum of Private Credit investments. The Trust will be mostly exposed to Loans, Notes and Bonds, however may also provide investors with the potential for enhanced returns above those generated from the interest paid on Private Credit through exposure to Equity-like investments such as Warrants, Options, Preference Shares or Common Equity as considered appropriate by the Manager according to how it believes the Investment Objective can be best achieved.

6 Income payments depend on success of underlying investments and are at the responsible entity’s discretion.

Research

The Fund has been independently rated by Zenith Investment Partners, BondAdviser, Lonsec and Independent Investment Research.
Zenith Recommended logo
Send Request
Download Report
BondAdviser Recommended logo
Send Request
Download Report
Lonsec Investment Grade logo
Send Request
Download Report
Independent Investment Research Recommended logo
Send Request
Download Report
Note: You must be a financial advisor or wholesale investor to obtain the Zenith Investment Partners and Lonsec Research Reports.
Ratings are subject to Terms and Conditions which can be found here: Ts and Cs‍
Ratings are only one factor to be taken into account when making an investment decision.

Performance

Fund Performance as at 28 February 2026

1 month
3 months
1 year
3 years^4
5 years^4
Inception^4,^5
Net Return (%)
Distribution (%)
0.52
-
0.43
-
1.82
-
1.58
-
8.63
-
7.83
-
9.06
-
8.50
-
9.30
-
7.92
-
8.81
-
7.61
-
Net Return (%)
1 Month
0.52
3 Months
1.82
1 Year
8.63
3 Years^4
9.06
5 Years^4
9.3
Inception^4,^5
8.81
Distribution (%)
1 Month
0.43
3 Months
1.58
1 Year
7.83
3 Years^4
8.5
5 Years^4
7.92
Inception^4,^5
7.61

4 Returns are based on NAV unit price, after taking into account all fees and costs, and assume the reinvestment of distributions.
Returns are annualised if over one year. No allowance has been made for entry fees or taxation.

‍

5 IPO 29 April 2019
Past performance is not a reliable indicator of future performance.

Investment Updates

Latest Reports
Feb' 26 - Monthly Report
Dec' 25 - Portfolio Report
The Metrics Income Opportunities Trust monthly report will be released around the 10th of each month.
Current Unit Price
‍

Investor Information

Our Investment Committee speak at many investor events. Stay up to date with presentations and investor updates they present.

Documents
Target Market Determination (TMD)
Product Disclosure Statement
Distribution Reinvestment Plan
Type
Year
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Monthly Report
2024
Aug’ 24 - Monthly Report
Financial Statements
2023
Interim Financial Statements (half-year ended 31 December 2022)
Annual Report
2023
Annual Report (year ended 30 June 2023)
Monthly Report
2023
Jan’ 23 - Monthly Report
Monthly Report
2023
Feb’ 23 - Monthly Report
1
8 / 20
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All Announcements

Stay up to date with key ASX announcements including latest earnings, annual reports, important performance updates and other information.

Media Releases

Find out more about our latest news and information.

Year
Thank you! Your submission has been received!
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30 January 2020
2020
MaxCap and Metrics to deliver $210million debt facility for Resimax development
21 March 2019
2019
Metrics raises $300 million for MCP Income Opportunities Trust IPO – proposed ASX ticker MOT
21 March 2019
2019
Metrics involved in A$1 billion debt refinancing for Patrick Terminals
1 August 2019
2019
Metrics Credit Partners continues its expansion with the announcement of new senior hires
9 February 2020
2020
Metrics to expand into NZ market
Next
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Email us
invest@metrics.com.au
1300 010 311
Mon-Fri 9:00 - 5:30
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Disclaimer and Disclosure

All website content in respect of the Metrics Income Opportunities Trust ARSN 631 320 628 (the Trust) is issued by The Trust Company (RE Services) Limited ABN 45 003 278 831 AFSL 235 150 (Perpetual) as responsible entity of the Trust. Metrics Credit Partners Pty Ltd ABN 27 150 646 996 AFSL 416 146 (Metrics) is the investment manager.

‍

The information provided in this website is of a general nature only and has been prepared without taking into account your objectives, financial situation or needs. Before making an investment decision in respect of the Trust, you should consider the current Product Disclosure Statement (PDS)  and Target Market Determination (TMD), and the Trust’s other periodic and continuous disclosure announcements lodged with the ASX, which are available at www.asx.com.au, and assess whether the Trust is appropriate given your objectives, financial situation or needs. If you require advice that takes into account your personal circumstances, you should consult a licensed or authorised financial adviser.

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Neither Perpetual nor Metrics guarantees repayment of capital or any particular rate of return from the Trust. Neither Perpetual nor Metrics gives any representation or warranty as to the currency, reliability, completeness or accuracy of the information contained in this website. All opinions and estimates included in this website constitute judgments of Metrics as at the date of website creation and are subject to change without notice. Past performance is not a reliable indicator of future performance.

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The Zenith Investment Partners (ABN 27 103 132 672, AFS Licence 226872) (“Zenith”) rating (Metrics Income Opportunities Trust (MOT) assigned 16 September 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 Fund Research Regulatory Guidelines.

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The rating issued 09/2025 is published by Lonsec Research Pty Ltd ABN 11 151 658 561 AFSL 421 445 (Lonsec). Ratings are general advice only, and have been prepared without taking account of your objectives, financial situation or needs. Consider your personal circumstances, read the product disclosure statement and seek independent financial advice before investing. The rating is not a recommendation to purchase, sell or hold any product. Past performance information is not indicative of future performance. Ratings are subject to change without notice and Lonsec assumes no obligation to update. Lonsec uses objective criteria and receives a fee from the Fund Manager. Visit lonsec.com.au for ratings information and to access the full report. © 2025 Lonsec. All rights reserved.

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The Independent Investment Research rating requires to be read with the full research report that can be found on the investment manager’s website (or upon request) together with our full disclaimer that is found on the front cover of our research note. We require readers of our research note to obtain advice from their wealth manager before making any decisions with respect to the recommendation on this note. The note is not general advice, just financial information without having regard to the financial circumstances of the reader.

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For all important information regarding BondAdviser Product Assessments please see the final page of the BondAdviser Fund Report or visit www.bondadviser.com.au.

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Enquiries and Complaints

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Perpetual’s complaints handling process has changed.

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The Responsible Entity has established procedures for dealing with complaints. If an investor has a complaint, they can contact the Responsible Entity and/or the Manager during business hours, using contact details provided in the PDS. For more information on Perpetual’s complaints handling process, please click here.

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Investors
Investment OpportunitiesResponsible Investing
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Managed Funds OverviewMetrics Direct Income FundMetrics Real Estate Income FundASX Listed  Funds OverviewMetrics Master Income Trust (MXT)Metrics Income Opportunities Trust (MOT)Metrics Real Estate Multi-strategy Fund (MRE)Wholesale FundsGlobal Funds
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In the spirit of reconciliation, Metrics acknowledges the Traditional Custodians of country throughout Australia and their connections to land, sea and community. We pay our respect to their Elders past and present and extend that respect to all Aboriginal and Torres Strait Islander peoples today.