we have a proven track record in real estate investment

Our absolute strength is our ability to identify the best risk adjusted returns for our investors.

We have a robust framework for loan origination, filtering, due diligence and portfolio management driven by the collective insight and experience of our investment team.

We are forward looking and build diversified portfolios across multiple asset classes that will perform during adverse macroeconomic shocks throughout the credit cycle, with a strong focus on preservation of investor capital and managing downside risks.

 During adverse macroeconomic shocks in the past, team members have experience in investing and taking advantage of market dislocation where covenants and loan pricing are at an attractive level providing risk adjusted returns due to less competition whilst maintaining a prudent approach at all times.

our offering to investors

our investment strategy

our investment process

Woodbridge follows a unique 10-strand investment process to construct and manage our investment portfolios, partnered with an emphasis on risk management.

our investment funds

Wholesale Investors

Retail Investors