Our investment philosophy is based on a house view of both the international and domestic drivers of the Australian real estate market.
We favour a ‘top down, bottom up’ approach. This means we start with meticulous research of the macroeconomic environment and overlay those findings with our strong local market knowledge, deep industry contacts and on-the-ground infrastructure.
This house view is the foundation of our equity and debt strategies and is constantly monitored and updated for changes in market dynamics. This allows us to meet the needs of our development partners while delivering strong, risk-adjusted returns for investors.