Capital can be invested through our flagship fund, the MIT, providing diversified exposure to our core strategy, or through bespoke solutions tailored to specific risk, return and portfolio objectives.
We also offer direct exposure to single‑asset investments and structured equity solutions, allowing us to deploy capital to opportunities across the risk-return spectrum.
Our flagship debt vehicle. MaxCap Investment Trust’s (MIT) evergreen structure offers wholesale investors immediate exposure to a diversified pool of CRE credit investments spanning multiple asset classes and geographic regions, monthly liquidity1 and a choice of return targets. The fund received an Investment Grade rating from Lonsec Research2 in 2025.
Single asset investments offer pure exposure to a specific opportunity. Designed to work alongside a well diversified investment portfolio, single asset investments should be viewed as a strategic component of a broader strategy. They complement diversified investments, providing targeted exposure to specific opportunities where we see potential for outsized returns.
We partner with established groups to invest directly in commercial real estate assets, developments or value-add projects. Combining commercial real estate sectors with strong sectoral thematics with clear strategies, we aim to deliver strong risk-adjusted returns to investors.
1 Monthly liquidity includes applications, distributions and redemptions. Redemptions may be delayed by the Trustee in accordance with the Trust Deed and the Interests of Investors.
2 The rating issued by Lonsec is general advice only and do not take account the objectives, financial situation or needs of investors. Investment ratings are only one factor to be taken into account when deciding whether to invest. Consider your personal circumstances and read the Information Memorandum if the product is right for you. All investments contain risk and may lose value. The rating is not a recommendation to purchase, sell or hold any product. Past performance information is not indicative of future performance. Ratings are subject to change without notice and Lonsec assumes no obligation to update. Lonsec uses objective criteria and receives a fee from the Fund Manager.