Our Approach
Our emphasis in APAC focuses on Malaysia, Australia, Japan, and Hong Kong.
Leveraging sponsor resources and track record, we target opportunities arising from gaps in real estate operating expertise, tenant use, and distressed situations.
We partner with skilled operators in executing asset plans, whilst ensuring investments have de-risked exit strategies in place.
our Principles
Perpetual
Own and enhance with a long-duration multi cycle mindset
Prime
Own in great locations and neighborhoods
Price
Aim to underwrite values close to replacement, if not, at a slight premium to market.
Prudent
Adopt consistent financing guidelines to ensure asset durability during unexpected downcycles.

Strategies
Capitarea’s team offers comprehensive multi-sector, risk return and capital stack opportunities with a localized approach.

- real estate
Core+
Stabilized assets in high conviction sectors with prudent leverage, income oriented, and moderate capital upside.
These are substantially stabilized assets in core locations with core+ return profiles delivered through superior origination, transaction structuring, optimal financing terms, and hands on asset management.
Key Components:
- Tier 1 location
- Stabilized Income & Occupancy profile
- High Tenant & Operator Quality
- High Conviction Sector
Value Add
Underperforming assets with moderate to aggressive leverage, moderate income generation and capital growth.
Key Components:
- Tier 1 location
- Moderate Occupancy profile
- Below market Rents and NOI margin

- Infrastructure
value add
Capitarea is currently developing pipeline for Malaysian based infrastructure opportunities within the palm oil and real estate sector.
Decarbonization remains a key agenda.