Property
Income + Growth
We draw on our extensive property expertise to invest in a diversified portfolio of quality Australian properties, generating strong income and capital growth for clients.
Our approach
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We quantitatively model cash flow and growth expectations, having regard to demographic and geographic drivers.
We require both solid income and growth potential.
We focus on areas with strong investment catalysts, including supply constraints or clear demographic growth drivers.
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We diversify across different property asset classes.
This includes mixed use residential/commercial, residential rebuilds and renovations, and new construction.
We ensure that we are not overly sensitivy to any one economic sector.
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We diversify across areas in Australia. The diversification is based on predications about growth areas and geopolitical headwinds and tailwinds.
Why us?
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Our team has over a decade of property investing experience.
Our lead had more than $15 million in Australian property transaction experience before fund commencement.
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The team has significant finance expertise. The deal lead has a PhD in finance, and has written more than 40 peer reviewed articles. This strong academic background enables the team to make evidence-driven, and empirically grounded, decisions.
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The team is committed to co-investing with the fund, meaning that we put our own money into deals. The fund only invests in assets in which we would invest our own money.