The Share price is calculated by the Net Asset Value of the Investments. The Investment decisions are made by the BVI FSC Licensed investment managed by Cadman Capital Ltd. The fund aims to increase the value of shares but the acquisition of property in the UK. The properties acquired will be mortgaged with the aim of paying down those mortgages over 10 to 20 years, thus providing increases in capital growth and reduction in debt.
The project management team has broad experience of a range of products and external consultants have worked on numerous projects with us. Management aim to identify investment opportunities where, in addition to market gains, changes can be made to properties to increase the level of investor returns.
The fund contracts Enterprise Real Estate, a wholly owned subsidiary of the Cadman Group to manage the day to day property portfolio. Having a full-time estate manager ensures all properties achieve their optimal level of occupancy and rental income. The estate manager works closely with a local real estate letting agent who fully vets prospective tenants and helps maintain the legal and regulatory framework over the properties.
Clients are assigned an account manager who can provide regular updates of the property fund portfolio, new offers as they become available and answer any questions you many have about your investment. Information will also be made available from time to time on this website. Projects which are partially complete or have sensitive confidential information about planning or development will not be disclosed until the projects are completed.
NAV's are calculate by the Manager from Valuations provided by an independent 3rd party licenced Surveyor & Valuer. Valuations are conducted bi-annually in accordance with industry standards. The fund manager will prepare quarterly Net Asset Value statements and portfolio reports. The Annual Financial Statements will be audited independently.