Investment Management

From Opportunity to Outcome

Valad was established to deliver a disciplined and differentiated approach to real estate investment and development.

Drawing on deep expertise across all sectors, Valad targets attractive risk adjusted returns, with a focus on opportunities capable of delivering returns in excess of 20%. Our approach combines active asset management, development capability and partnership-led execution.

  • We originate opportunities through proprietary sourcing, local market presence and long-standing relationships across the living sector. Each opportunity is assessed against clearly defined investment criteria, with market fundamentals, planning risk, delivery complexity and capital structure considered from the outset.

    A clear and achievable exit strategy is identified early in the investment process, ensuring liquidity and risk mitigation are embedded at entry and aligned with prevailing capital market demand.

  • We adopt a highly active approach to investment management, overseeing assets from acquisition through development, stabilisation and execution. Our vertically integrated teams work closely across investment, development, asset and property management to control risk, maintain delivery certainty and respond effectively to market conditions.

    Proprietary technology and data-driven tools are embedded across our processes, enabling real-time performance monitoring, enhanced reporting and informed decision-making. Combined with deep local market insight, this approach allows us to identify value-creation opportunities, optimise asset performance and adapt strategies throughout the investment lifecycle.

  • Our focus is on delivering attractive, risk-adjusted outcomes through disciplined execution and proactive management. Performance is measured against both financial objectives and the successful positioning of assets for realisation.

    We engage closely with capital partners throughout the investment lifecycle, regularly reviewing strategy and maintaining a clear path to exit, with the objective of achieving timely, liquid and value-optimised realisations.

    This focus supports a smooth transition from delivery to occupation, minimises lifecycle costs and ensures assets perform in line with investor expectations from day one.

Our Investment Strategies:

1.Opportunistic

Targets high-return opportunities through development, repositioning, planning gain or complex situations where active management, structuring, and timing drive outsized value creation

2.Value Add

Focuses on enhancing income and capital value through leasing, asset management initiatives, operational improvements, and selective capital expenditure.

3.Core Plus

Invests in stabilised, high-quality assets with secure income, offering defensive cash flows alongside measured growth through light asset management.