Investment
Management

Cadence manages a diverse portfolio of real estate funds and single asset vehicle strategies, focusing on the industrial and commercial sectors to deliver repeatable outperformance for private and institutional investors.

Our investment management platform actively manages third party capital investing into core plus, value add, and development strategies.

We leverage our integrated model to de-risk investment opportunities, combining our development and D&C expertise with an in-house asset management capability.

Central to our investment management offering is an active management approach to reposition and stabilise assets for a renewed investment lifecycle.

Our primary investment strategies include:

Core +

Primarily income generated returns through the cash flow of established assets, with potential return uplift through property enhancements, targeted opportunities, management efficiencies or by increasing the quality of the tenant.

Value Add

Income and capital growth generated from existing assets with opportunities to enhance or add value to the assets through active management. This may also include situational buying opportunities derived from market dislocations or distress.

Development

Income and capital growth generated through ground up development including develop to hold and develop to sell opportunities.

Cadence works with investors across the risk/return spectrum through a number of different structures and investment strategies with a focus on those areas that allow Cadence to actively create value and outperform passive (core) real estate.
LEARN ABOUT OUR MOST RECENT FUND, THE CADENCE AUSTRALIAN REAL ESTATE PARTNERSHIP I