Real Properties
Real Numbers
Real Client Outcomes
Every deal we touch goes through a rigorous, no-BS analysis process — here’s what that looks like in the real world
$700/Week on a $380K Buy
— That’s the Game
Waikato Two 1-bed units. One title. $700 a week.
This was a strategy play. We targeted dual-income cashflow, tracked the deal, and secured it at auction for $20K under our max. No heavy reno — just the right asset, executed properly.
Our Australia-based client stayed completely hands-off while we handled everything on the ground and delivered a high-performing result.
Location: Waikato
Strategy: Cashflow
Purchase Price: $380,000
Rent: $700 p/w
Gross Yield: 9.2% (50 weeks)
Bought to Hold. Flipped for $174K Instead.
Location: Hamilton
Strategy: Buy & Hold → Flip Pivot Purchase
Price: $650,000
Total Cost: ~$820K
Profit: ~$174K (pre-tax)
Timeframe: 4 months
We secured this at $650K with a clear buy-and-hold strategy — backed by ~$223K instant equity and ~8.9% gross yield potential.
But strategy isn’t static.
As the deal progressed, we identified a stronger play — pivoted, executed a targeted reno, and took it to market.
Result: ~$174K profit (pre-tax) in 4 months.
This is what we do — we don’t just buy property, we actively manage the strategy to maximise outcome.
Bought ~$146K Under Value — Cashflow From Day One
Location: Wellington
Strategy: Cashflow + Value-Add
Purchase Price: $795,000
Rent: ~$1,300 p/w
Gross Yield: 8.1%
Instant Equity: ~$146K
Two income streams. One title. ~$1,300/week — delivering approx. 8.1% gross yield.
We secured this at $795K in a down market — with ~$146K instant equity already built in.
Minimal input required (just a light ~$25K tidy-up), and the asset was positioned to perform immediately.
This was a strategy play: buy under value, lock in dual income, and create upside before the market turns.
Clean execution, strong fundamentals, and a deal that moves the portfolio forward from day one.











