CMC
CMC
CMC

CMC

Investment Strategy

As a conservative but opportunistic investor, CMC Capital seeks out investment markets where real estate capital values and rental levels are relatively attractive, with favourable investment & economic prospects, and identifiable & manageable investment risks.

The firm is a medium term investor in real estate, typically taking investment positions for between three and seven years. We are conservative in selecting and screening investments; each final acquisition candidate is subjected to rigorous commercial, technical, legal, and taxation due diligence.

Normally, acquisitions are financed using part investor equity and part bank finance. 

The firm invests across the real estate space in core, core-plus, value added and opportunistic projects.  Typically, projects selected will offer a return on investment from rental income and capital pricing, plus the prospect of additional returns through active management or incremental development.

All candidate investment projects are subjected to a rigorous review by the CMC Capital Investment Committee.