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description= Leveraging Oaktree s leading expertise, the Oaktree Strategic Credit Fund provides access to private credit opportunities for income-seeking investors;
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oaktree strategic credit fund homepage skip to main content main navigation about overview oaktree advantage leadership performance portfolio overview investments insights resources product literature communications sec filings tax information news press get started secondary navigation client login search search main navigation about overview oaktree advantage leadership performance portfolio overview investments insights resources product literature communications sec filings tax information news press get started secondary navigation client login search search oaktree strategic credit fund private credit income solution class s class i class d class t transaction price nav 1 22 32 22 32 22 32 22 32 annualized distribution rate 2 7 75 8 60 8 35 7 75 transaction price nav 1 as of june 30 2026 class s 22 32 class i 22 32 class d 22 32 class t 22 32 annualized distribution rate 2 as of june 30 2026 class s 7 75 class i 8 60 class d 8 35 class t 7 75 as of june 30 2026 view performance access to private credit opportunities the oaktree strategic credit fund the fund is managed with deep expertise offering investors access to income generating credit opportunities the fund is a perpetually offered non listed business development company bdc which primarily invests in privately negotiated loans to u s companies 3 the fund will also strategically invest in discounted high quality public investments to enhance total return and provide liquidity in times of market dislocation this fund can offer 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 4 leader in credit investing our credit platform has over 416 billion and includes 163 billion across oaktree strategies competitive private credit platform forty nine dedicated professionals leverage the insights of 272 credit experts and employ a highly selective approach unwavering focus on risk management oaktree s time tested and unifying investment philosophy spans 30 years and emphasizes risk control and consistency read about the oaktree advantage 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 1 the net asset value nav per share for each class of shares is determined by dividing the value of total assets including accrued interest dividends and assets purchased with borrowings attributable to the class minus liabilities including accrued expenses any reserves established by the adviser in its discretion for contingent liabilities and any borrowings attributable to the class by the total number of common shares outstanding of the class at the date as of which the determination is made 2 as of july 31 2026 annualized distribution rate reflects the current month s distribution annualized and divided by the prior month s last reported nav past performance is not necessarily indicative of future results there is no assurance we will pay distributions distributions may be funded from sources other than cash flow from operations including without limitation the sale of assets borrowings return of capital or offering proceeds distributions paid from offering proceeds may constitute a return of capital we have no limits on the amounts we may pay from such sources to fund distributions distributions may also be funded in significant part directly or indirectly from temporary waivers or expense reimbursements borne by the adviser or its affiliates that may be subject to reimbursement to the adviser or its affiliates and therefore can reduce future distributions to which you would otherwise be entitled the extent to which we pay distributions from sources other than cash flow from operations will depend on various factors including the level of participation in our distribution reinvestment plan how quickly we invest the proceeds from this offering and any future offering and the performance of our investments funding distributions from the sales of assets borrowings return of capital or proceeds of this offering will result in us having less funds available to acquire investments as a result the return you realize on your investment may be reduced doing so may also negatively impact our ability to generate cash flows likewise funding distributions from the sale of additional securities will dilute your interest on a percentage basis and may impact the value of your investment especially if we sell these securities at prices less than the price you paid for your shares we believe the likelihood that we pay distributions from sources other than cash flow from operations will be higher in the early stages of the offering 3 t he fund has elected to be regulated as a bdc under the investment company act of 1940 4 a s of june 30 2026 oaktree capital management l p is a leading global investment management firm headquartered in los angeles california focused on less efficient markets and alternative investments and is an affiliate of oaktree strategic credit fund s investment adviser oaktree fund advisors llc the adviser and collectively with its affiliates oaktree get started individual investors talk to your financial advisor to learn more about the oaktree strategic credit fund financial advisors contact brookfield s private wealth team for more information about how to invest in the oaktree strategic credit fund contact us 855 777 8001 privatewealth brookfield com learn more download prospectus close go back get started individual investors talk to your financial advisor to learn more about the oaktree strategic credit fund financial advisors contact brookfield s private wealth team for more information about how to invest in the oaktree strategic credit fund contact us 855 777 8001 privatewealth brookfield com learn more download prospectus disclosures before investing consider the oaktree strategic credit fund s investment objectives risks charges and expenses please read the prospectus carefully before investing oaktree fund advisors llc the adviser and collectively with its affiliates referred to as oaktree the words we us our and the fund refer to oaktree strategic credit fund this sales and advertising literature is neither an offer to sell nor a solicitation of an offer to buy any securities an offering is made only by the fund s prospectus this literature must be read in conjunction with the fund s prospectus in order to fully understand all of the implications and risks of the offering of securities to which the fund s prospectus relates a copy of the fund s prospectus must be made available to you in connection with any offering neither the securities and exchange commission nor any other state securities regulator has approved or disapproved of our common shares determined if the fund s prospectus is truthful or complete or passed on or endorsed the merits of the offering any representation to the contrary is a criminal offense risk factors an investment in common shares the shares of beneficial interest in oaktree strategic credit fund involves a high degree of risk you should only purchase shares of oaktree strategic credit fund if you can afford to lose your complete investment prior to making an investment you should read the fund s prospectus including the risk factors section therein which contains a discussion of the risks and uncertainties that oaktree strategic credit fund believes are material to its business operating results prospects and financial condition these risks include but are not limited to the following oaktree strategic credit fund has no prior operating history and there is no assurance that it will achieve its investment objective this is a blind pool offering and thus you will not have the opportunity to evaluate oaktree strategic credit fund s investments before it makes them you should not expect to be able to sell your shares regardless of how well oaktree strategic credit fund performs you should consider that you may not have access to the money you invest for an extended period of time oaktree strategic credit fund does not intend to list the shares on any securities exchange and it does not expect a secondary market in the shares to develop prior to any listing because you may be unable to sell your shares you will be unable to reduce your exposure in any market downturn oaktree strategic credit fund has implemented a share repurchase program but only a limited number of shares will be eligible for repurchase and repurchases will be subject to available liquidity and other significant restrictions an investment in the shares is not suitable for you if you need access to the money you invest see suitability standards and share repurchase program in the fund s prospectus oaktree strategic credit fund cannot guarantee that it will make distributions and if it does it may fund such distributions from sources other than cash flow from operations including without limitation the sale of assets borrowings return of capital or offering proceeds and there are no limits on the amounts oaktree strategic credit fund may pay from such sources distributions may also be funded in significant part directly or indirectly from temporary waivers or expense reimbursements borne by oaktree fund advisers llc the adviser or its affiliates and which may be subject to reimbursement to the adviser or its affiliates the repayment of any amounts owed to oaktree strategic credit fund s affiliates will reduce future distributions to which you would otherwise be entitled oaktree strategic credit fund is using and expects to continue to use leverage which will magnify the potential loss on amounts invested in it oaktree strategic credit fund intends to invest in securities that are rated below investment grade by rating agencies or that would be rated below investment grade if they were rated below investment grade securities which are often referred to as junk have predominantly speculative characteristics with respect to the issuer s capacity to pay interest and repay principal they may also be illiquid and difficult to value forward looking statements the sales and advertising literature presented on this website contains forward looking statements about oaktree strategic credit fund s business including in particular statements about its plans strategies and objectives you can generally identify forward looking statements by the use of forward looking terminology such as may will expect intend anticipate estimate believe continue or other similar words these statements include oaktree strategic credit fund s financial projections and estimates and their underlying assumptions plans and objectives for future operations including plans and objectives relating to future growth and availability of funds and they are based on current expectations that involve numerous risks and uncertainties assumptions relating to these statements involve judgments with respect to among other things future economic competitive and market conditions and future business decisions all of which are difficult or impossible to accurately predict and most of which are beyond oaktree strategic credit fund s control although oaktree strategic credit fund believes the assumptions underlying the forward looking statements and the forward looking statements themselves are reasonable any of the assumptions could be inaccurate and therefore there is no assurance that these forward looking statements will prove to be accurate and oaktree strategic credit fund s actual results performance and achievements may be materially different from that expressed or implied by these forward looking statements in light of the significant uncertainties inherent in these forward looking statements the inclusion of this information should not be regarded as a representation by oaktree strategic credit fund or any person that the oaktree strategic credit fund s objectives and plans which it considers to be reasonable will be achieved you should carefully review the risk factors section of the fund s prospectus and any updated factors included in oaktree strategic credit fund s periodic filings with the securities and exchange commission the sec which will be accessible on the sec s website at www sec gov for a discussion of the risks and uncertainties that oaktree strategic credit fund believes are material to its business operating results prospects and financial condition these factors should not be construed as exhaustive and they should be read in conjunction with the other cautionary statements that are included in this document or the fund s prospectus and other sec filings except as otherwise required by federal securities laws oaktree strategic credit fund does not undertake to publicly update or revise any forward looking statements whether as a result of new information future events or otherwise welcome to oaktree strategic credit fund important notice please select yes or no to continue this site and the materials herein are directed only to certain types of investors and to persons in jurisdictions where oaktree strategic credit fund is authorized for distribution complete information about investing in shares of oaktree strategic credit fund is available in the prospectus an investment in oaktree strategic credit fund involves risks download prospectus i acknowledge that i i have received the prospectus and ii either a i am a united states resident or b i have otherwise received authorization from oaktree strategic credit fund or my broker dealer registered investment advisor to access the contents of this website i agree to the terms no thanks are you a resident of ohio this material is available only to persons residing outside of ohio no yes return to site footer about us oaktree strategic credit fund oaktree advantage leadership brookfield private wealth information insights resources client login get started contact us 855 777 8001 privatewealth brookfield com learn more download prospectus brookfield private wealth llc member finra sipc is the intermediary manager for the oaktree strategic credit fund offering check the background of this firm or your investment professional on finra s broker check footer links terms of use cookie policy data protection privacy oaktree privacy notice web fraud and phishing warning 2026 brookfield
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