Diversify your investment portfolio

Diversification is a risk management strategy that mixes a wide variety of investments within a portfolio. You can diversify your investment portfolio by investing in commercial property through a Centuria managed property fund.

We offer investors the opportunity to invest in a diverse range of both ASX-listed and unlisted property funds, and within these there are further investment choices.

Centuria offers closed-ended unlisted property funds that are typically single asset funds running for a fixed-term of 5-7 years,  as well as funds that remain open for investment in open-ended structures.

We offer a variety of investment options to align with your investment goals and risk profile.

You can stay informed about upcoming closed-ended investment opportunities simply by completing the form on this page.

 


“Helping investors grow wealth through property investment for over 20 years.”


 

Get notified of our next closed-ended offer.

Property Funds Association
Taskforce on Climate-Related Disclosures
Property Council of Australia
Diversity Council of Australia
Green Building Council of Australia

Benefits and risks of unlisted property funds

The benefits of unlisted property funds are that they have the potential to provide investors with returns in the form of capital gains and regular distribution (rental) income. They also enable investors to gain exposure to the commercial property market at a relatively low entry point without the requirement to manage the properties themselves. The key things to consider when investing in unlisted property funds are the liquidity of the fund, the gearing of the properties in the fund and understanding the individual properties held by the fund and their characteristics. You should also consider whether this general information is appropriate for you and consult your financial or other professional adviser before investing. For further independent information, please read the MoneySmart guide to investing in unlisted property schemes.

 


(1) Subject to distributions being declared by the Responsible Entity and various assumptions and risks associated with investing in property funds.

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