Delivering value to our investors
Our investment partners include wholesale investors, institutions and fund managers and our priority is to deliver them value and to ensure maximum long-term benefits.
Our investment principles
Single asset investments
These provide transparency and give us a greater ability to manage risk.
We buy well and in the right location. This attracts prospective tenants and buyers alike; and maximises returns.
Using the skills and knowledge of our executive team, we know how to enhance the value of our assets.
Our integrated approach leverages the end-to-end capabilities and expertise of our management team to evaluate each investment opportunity.
Each project is carefully assessed and subject to thorough financial and risk analysis. Our overarching aim is to ensure the development and financial objectives of each opportunity are met.
Our management team works alongside our investment partners and looks to retain property within many of our developments. This demonstrates a commitment to alignment of interests, whilst ensuring accountability to perform and deliver optimum returns.
We hold our own Australian Financial Services licence and keep investors updated and informed about the progress of their investment.
We continue to build on our well-established relationships with investors, financial institutions, consultants, builders and local councils all of whom contribute to the success of our projects.
Stirling Capital is a corporate authorised representative (301612) of its wholly owned subsidiary Stirling Capital Nominees Pty Ltd (ACN 122 629 243) which holds Australian Financial Services License (AFSL) Number 322 592.
The licence authorises Stirling Capital in its capacity as a corporate authorised representative and Stirling Capital Nominees Pty Ltd to carry on a financial services business to provide general financial product advice in securities, deposit products and managed investment schemes; and to deal in a financial product by issuing, applying for, acquiring, varying or disposing of financial product in respect of managed investment schemes and securities to wholesale clients.