Our investment options aim to deliver sustainable growing total returns for securityholders and strong risk-adjusted returns for investors.
Unlisted retail funds
Cromwell Funds Management, a wholly owned subsidiary of Cromwell Property Group, provides Australian investors with access to a range of income-producing property investment options.
The focus of the award-winning fund manager is to create value and deliver sustainable income for investors through stringent investment processes.
Cromwell Property Group owns a 50% stake in Oyster Property Group, a New Zealand commercial property and fund manager. Oyster manages a quality portfolio of retail, industrial, office and large format retail assets throughout New Zealand valued at approx. $1.8 billion.
Oyster’s focus is to target long-term asset performance through a disciplined, diligent approach that delivers consistent returns.
Cromwell provides investors with exposure to commercial property with the benefit of liquidity through the top performing, award-winning Cromwell Phoenix Property Securities Fund.
The Cromwell Phoenix Global Opportunities fund seeks to invest in a broad range of global equities trading at discounts to their readily quantifiable Net Asset Values. This product is a niche offering aimed at sophisticated investors looking to diversify their global equity exposure.
Listed offerings
Cromwell Property Group is listed on the ASX and included in the FTSE EPRA/NAREIT Global Real Estate Index. Cromwell Property Group (ASX:CMW) is a real estate investor and funds manager with $4.5 billion of assets under management in Australia and New Zealand at 30 June 2024.
Cromwell Securityholders benefit from an attractive combination of stable long-term cash flows, demonstrated asset enhancement capabilities and transactional profits, and low risk exposure to Asian capital flows and European economic growth.
Visit our securityholder centre for latest announcements.
Unlisted wholesale funds and asset mandates
Take a look at our current investment strategies which are timed to align with expected thematic, structural and market trends.
Our investors benefit from active asset enhancement,
repositioning and development skills and experience.