Qualitas is Australia’s leading real estate financier and investment manager, with committed capital of approximately AU$3 billion. Founded in 2008, we have invested in a range of commercial, industrial and residential real estate assets, helped our partners bring major projects to life and provided investors with strong, risk-adjusted returns.

Nick Bullick (Director Real Estate & Portfolio Manager of QRI) presents QRI’s latest performance and the Qualitas house view on the commercial real estate (CRE) debt market having regard to a macroeconomic backdrop of ongoing COVID-19 risks.

INVESTMENT STRATEGIES

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Debt

Secured first and second mortgage loans to purchase, refinance and develop property.

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Core 

Low-risk-profile investments with long duration, secure and stable cashflows.

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Value-add 

Improvement of asset performance through active management including refurbishment, active releasing and change of use.

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Opportunistic

Situational equity investments to achieve strong risk-adjusted returns, including joint ventures and distressed investing.

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