Conservative returns backed by real assets and transparent management.

 

Stable Target Returns

Enjoy consistent annual returns in the range of 7% – 9% (net of fees) through a professionally managed portfolio of mortgage investments.

 

Secured by Real Assets

Every investment is backed by Canadian real estate assets, providing tangible security and capital protection.

 

Diversified Portfolio

Balanced exposure across first mortgages and bridge loans reduces risk and enhances portfolio stability.

 

Transparent Reporting

Investors receive quarterly updates and annual audited financial statements for full clarity and accountability.

 

Monthly Income Option

Choose to receive monthly cash distributions or automatically reinvest through our Dividend Reinvestment Plan (DRIP).

 

FSRA-Regulated & Professionally Managed

Capital Yield MIC operates under Ontario’s Financial Services Regulatory Authority (FSRA), ensuring compliance and fiduciary oversight