
Investment Strategies
At 1989 Capital, we craft strategic investment solutions that combine deep market expertise with a disciplined, forward-thinking approach. Our investment strategies are designed to unlock value and deliver consistent, risk-adjusted returns through a sharp focus on capital preservation, income generation, and long-term growth.
With a commitment to excellence and integrity, our 1989 Real Estate Fund and 1989 Property Debt Fund offer sophisticated investors access to tailored opportunities in real estate and private lending markets.
By leveraging strong due diligence, strategic partnerships, and market insights, we empower our investors to navigate complex markets with confidence and achieve sustainable success.
1989 Real Estate Fund
The 1989 Real Estate Fund is a wholesale Real Estate Investment Trust (REIT) based in Australia, designed to provide high-net-worth individuals, family offices, and institutional investors with access to a diversified portfolio of income-generating commercial, residential, and industrial real estate. The Fund targets high-potential real estate assets across key sectors, leveraging market insights and strategic partnerships to identify underappreciated assets with opportunities for value enhancement.
With a focus on long-term growth, capital appreciation, and maximizing rental income, the Fund seeks to deliver consistent, risk-adjusted returns to its investors through strategic asset management and redevelopment.
This wholesale fund is not listed on the Australian Securities Exchange (ASX), making it available exclusively to investors with higher minimum investment requirements and offering a more personalized approach to asset selection, risk management, and returns.
​
Fund Objectives
​
-
Income Generation: Provide investors with stable, consistent rental income through a diversified portfolio of residential, commercial, and industrial properties.
​
-
Capital Appreciation: Achieve long-term growth in property values, targeting high-quality real estate in prime locations with potential for value enhancement.
​
-
Diversification: Minimize risk by spreading investments across multiple property sectors (residential, commercial, and industrial) and geographical locations.
1989 Property Debt Fund
The 1989 Capital Debt Fund is a wholesale private credit fund in Australia that focuses on providing tailored lending solutions to property developers, commercial property buyers, and other real estate-related ventures. The Fund acts as a private lender to borrowers who require short to medium-term financing, often in situations where traditional banks or financial institutions may be unable or unwilling to provide capital.
By leveraging a combination of strong due diligence, market expertise, and strategic partnerships, the Fund aims to generate strong, risk-adjusted returns through interest income and capital gains on the loans provided. The Fund’s lending activities focus primarily on real estate transactions, including developments, property acquisitions, and other commercial real estate ventures.
This wholesale fund is not listed on the Australian Securities Exchange (ASX), offering a more personalized and flexible lending approach for sophisticated investors looking for higher returns than those typically offered by traditional fixed-income products.
​​​
Fund Objectives
​
-
Capital Preservation: Aim to preserve investor capital by providing secured, high-yield loans to trusted developers and commercial property buyers.
​
-
Income Generation: Deliver consistent returns through interest income from loans, typically backed by real estate collateral.
​
-
Capital Growth: Generate additional returns from capital appreciation of properties tied to loans or through loan paydowns and refinancing.
​
-
Diversification: Minimize risk through a diversified portfolio of loans across sectors such as residential development, commercial properties, and industrial projects.
​​

