As a leading private credit originator and investment manager focused on commercial real estate in Australia and New Zealand, we have delivered strong, reliable risk‑adjusted returns to institutional investors across market cycles.
Built on a heritage of managing institutional capital, our platform is underpinned by disciplined risk management, rigorous governance and on‑the‑ground origination that provides access to high‑quality opportunities and local intelligence. Together, these capabilities support prudent deployment in an idiosyncratic asset class.
Today, institutional capital represents more than half of our total funds under management.
We build portfolios through tailored separately managed accounts and diversified fund allocations. Our deep understanding of commercial real estate credit risk and return enables us to structure strategies that align with portfolio diversification goals, risk appetite and investment objectives.
MaxCap’s flagship real estate credit fund, the MaxCap Investment Trust (MIT), offers wholesale and institutional investors access to a diversified portfolio of institutional-grade real estate credit. The MIT aims to deliver monthly income, capital preservation and disciplined risk-adjusted returns. Managed by a specialist platform, it has a proven track record of consistent performance.
Separately Managed Accounts (SMA) tailor investment strategies targeting the full spectrum of CRE debt, aligned to each client’s risk, return and portfolio objectives. MaxCap originates, underwrites and manages each investment across its full lifecycle. Every account is supported by dedicated relationship management and full access to our broader platform.