Spire Multifamily Value Fund I (AUD)

Vintage Year
2020
Asset Class
Global Real Estate
Sub Class
Multifamily Real Estate
Fund facts
Investment Fund Type
Wholesale investment only
APIR
SPI0513AU
Fund Manager & Trustee
Spire Capital Limited
Investment Manager
Cortland Investment Manager, LLC
Underlying Fund(s)
Cortland Enhanced Value Fund V, L.P.
Currency Hedging Status
Unhedged
Distribution frequency
Biannually as at 30 June and 31 December
Liquidity / Redemptions
N/A - The Fund is closed ended
Applications
Closed to new investment
Fund overview

Spire Multifamily Value Fund I (AUD) (a unit class of Spire Capital Master Fund) seeks to deliver steady returns and strong asset growth from US multifamily assets while maintaining a moderate risk profile. The Fund was established in May 2020 and serves as an AUD denominated Australian unlisted unit trust that feeds into the Cortland Enhanced Value Fund V LP. Cortland focuses on assets in which the firm can increase value through a blend of physical improvements to the property and individual units, as well as a commitment to enhancing operations and, ultimately, the resident experience.

Performance
Performance as at 31 October 2025Net Returns*
1 Month0.91%
3 months-5.11%
6 months-4.34%
1 year-3.34%
Since inception p.a.*-2.23%
Unit Price$1.238

*Performance since inception is measured as the Internal Rate of Return since inception. The IRR is the annualised rate of return that equates the amount and timing of irregular cashflows since inception with the period end value. The IRR replaced the time weighted since inception return, effective from 30 June 2023.Past performance is not an indicator of future performance.

Performance table is based on the aggregated total application amount and units issued during the capital raising period and includes Unit Price growth from commencement of NAV based unit pricing following completion of capital raising in August 2021. Unit Price and performance do not include the value of Foreign Income Tax Offsets (FITOs) which have been distributed in addition to cash. Individual investor performance will vary according to the Application Price at which they were issued Units in the Fund, which in turn was based upon the AUD / USD exchange rate applicable on the day that an investment is accepted.

Distribution history
PeriodDistribution Amount (cents per unit)EX Price
30 June 20240.9510 CPU Cash, Nil CPU FITOsDownload File
30 June 2023Nil CPU Cash, Nil CPU FITOs
Fund Documents
Off Market Transfer Form Download File
Change of Address & Communication Election FormDownload File
Letter of Authority FormDownload File
Change of Advisor FormDownload File
Spire Capital Master Fund Financial Report 2024Download File

How to invest

Via your financial adviser

Please reach out to your financial adviser for more information on Spire Capital and our investment offerings. Spire investments are available on a range of administration platforms including Netwealth, HUB24 and Mason Stevens.

 

Directly with Spire Capital

For those investors wanting to consider the appropriateness of investing directly with Spire, please click on the following link to access the Spire Investor Portal.

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