Our strategy

We provide stable long-term income and capital growth by diligently evaluating and proactively managing our real estate.

Recognising that each property is unique, we establish open-ended investment trusts with defined strategies that enable us to actively manage and enhance returns.

We invest alongside our clients with each Trust established as a standalone investment, independently managed by an external Trustee, to ensure transparent decision-making.

Our structure

Investors subscribe for units in a Trust.

The Trust

The registered owner of the property via an independent Trustee of the Trust.

The Trustee

Represents the interest of the Trust and Trust’s Unit Holders.

The Investment Manager

Delivers the investment strategy under the direction of the independent Trustee.

Our process

1

Origination

Opportunities are originated and evaluated.

2

Review

Opportunities are compared against market benchmarks.

3

Analysis

If there is potential for appropriate risk-adjusted returns, further analysis is undertaken and pricing refined.

4

Investment Committee

The Investment Committee reviews the thesis and if it is supported, exclusive contractual control over the property is secured.

5

Due Diligence

Independent consultants validate all aspects of the property prior to finalising the purchase.

6

Execution

We implement the investment strategy to ensure the property meets or exceeds investment forecasts, providing regular, detailed reports to keep investors informed.

Case studies

Our success stories.

Current opportunities

To invest with Leyton Funds you need to qualify under the Corporations Act 2001 as a Wholesale or Sophisticated Investor. Further details on how to qualify can be found here.

If you do not immediately qualify under the categories listed, please contact us as you may still be eligible to invest, subject to current legislation.