Selling agents


P 09 375 8437
M 021 945 927
mike.houlker@bayleys.co.nz

Mike Houlker

Head of Syndication & Investment Products

With a background in finance, commercial and industrial real estate was a natural fit for Mike Houlker and he has consistently been one of the country’s top performing agents since joining Bayleys 36 years ago.

Noticing the reservations that some smaller investors had about the significant outlay involved in direct property investment and having all their investment capital tied up in one property, Mike began investigating alternative property options for these types of investors. Working with leading property fund managers and syndicators, Mike has project managed the marketing and sell down of over 60 successful property funds and syndications over the last 20 years, raising over $1.2 billion of investors’ equity on property valued in excess of $2.5 billion.

During this time, he has developed an unrivalled knowledge of this sector of the market. Mike is Bayleys Head of Syndication and Investment Products and is also qualified as a Financial Adviser.

P 09 375 8490
M 021 027 61373
samara.phillips@bayleys.co.nz

Samara Phillips

Syndicated Investments Manager

Samara is the Syndicated Investment Manager for the Bayleys Syndication & Investment Products Division and manages the process from marketing through to sales and investor relations. Samara has a Bachelor of Commerce in Marketing and Management from the University of Otago and is also qualified as a Financial Adviser.

Joining Bayleys’ Auckland in 2010, she has been instrumental in raising over $1 billion dollars for New Zealand’s leading property fund managers – over $300 million in just the last two years. Her previous background involved key roles within a leading property fund management business.

After 16 years specialising in property funds and syndicated property, Samara has a comprehensive understanding of all aspects of this sector of the market. She is passionate about ensuring investors receive the absolute best levels of service and would be happy to answer any questions you may have.

P 09 375 6825
M 027 635 3521
sarah.prebble@bayleys.co.nz

Sarah Prebble

Syndication & Investment Products

Sarah is an integral part of Bayleys Syndication & Investment Products Division and has been since specialising in this area of property investment six years ago. Her background with Bayleys is extensive, having started in 2008 working part-time in the research team whilst completing a Bachelor of Property and Bachelor of Science from Auckland University. After graduating in 2009, Sarah joined the Auckland Central Commercial and Industrial team working successfully in administration, sales and leasing roles.

Sarah has a strong understanding of many aspects of syndicated property investment and in particular the importance of client communication and care. Her ability to build strong working relationships with a wide range of people along with her remarkable work ethic ensures clients receive the highest level of service.

The offer of units in Centuria NZ Value-Add Fund No.2 LP (the Fund) is only being made to persons who are ‘wholesale investors’ within the meaning of clause 3 of schedule 1 of the Financial Markets Conduct Act 2013. You should undertake your own independent review, investigation and analysis of the offer and obtain any taxation, legal, financial or other professional advice in relation to the offer as appropriate in your circumstances. The selling agents are not providing personalised advice. Important information about the financial advice service provided by Bayleys Real Estate Limited is available at syndications.co.nz. This communication is not a Product Disclosure Statement, nor will any Product Disclosure Statement be prepared for the offer as it is only made to wholesale investors. The Fund will have a two year term, unless extended by investors in the Fund, within which the Fund will aim to sell the property. Distributions will only be received by investors once the property is successfully sold, following which the net assets realised will be distributed to investors. The Fund’s objective is to return investor’s capital invested plus the target annualised pre-tax return on that invested capital. Returns are not guaranteed. Actual returns may vary. The target annualised pre-tax return is presented on an after fees basis. Financial information to assist investors in understanding how the target annualised pre-tax return is calculated (including the key assumptions upon which it is based), and the risks associated with the investment are set out in the Investment Memorandum.

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and entering Centuria Australia.

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