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What is the funds exit strategy?

Mates Invest is designed as a long-term, income-focused investment rather than a short-term trading vehicle. Our primary strategy is to acquire and hold quality commercial property that generates stable cash flow over time.

Investor exits are managed through the structure of the investment itself. By offering different investment terms, investors have defined timeframes at which they can exit or roll their investment, providing a level of flexibility without forcing the sale of underlying assets.

At the asset level, we retain the ability to sell properties where it is in the best interests of investors, such as when value has been maximised, market conditions are favourable, or capital can be better redeployed into higher-performing opportunities.

Importantly, because we are not reliant on bank debt, we are not forced into selling assets due to loan maturities or refinancing pressure. This allows us to make disciplined, timing-based decisions rather than reactive ones.

Over time, as the platform grows, additional exit options may be introduced, such as secondary market mechanisms or structured liquidity events, further enhancing flexibility for investors.

In simple terms, our exit strategy focuses on providing investor liquidity through defined investment terms, while maintaining long-term ownership and control of high-quality property assets.

Media Contacts

Courtney Harrison

Courtney Harrison
Compliance & Communications

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