Issuer's description of this product:
An other managed investment scheme where investors' money is pooled with other investors' money and invested in a real property investment.
Minimum investment
This is the minimum amount you would need to put into this in order to invest.
Closing date
This is when this offer closes to investors.
Scheme type
This is a property investment scheme, either residential or commercial.
Key facts
Provider website
Minimum total to be raised
The issuer of this investment has indicated that a minimum of $14,860,000 must be raised before it is issued.
Key documents
These are the most important documents that a provider is required to file about this investment.
Product disclosure statement
Before you invest in a product like a fund, you are given a PDS which has essential details about it and the company providing it. Here's more on how to read a PDS.
Mainland Retail Fund 2 Trust Replacement PDS.pdf
How this investment works, including about the provider, risks, costs and potential returns
Additional disclosure documents
These are more documents from the provider that can contain interesting information.
Prospective Financial Information.pdf
Other Material Information.pdf
Telfer Young Valuation Report.pdf
Notes and Assumptions to and Forming Part of the Financial Statements.pdf
Land Information Memorandum.pdf
Certificate of Title 410108 (Principal Unit 1).pdf
Certificate of Title 410109 (Principal Unit 2).pdf
Certificate of Title 410110 (Principal Unit 3).pdf
Certificate of Title 410111 (Principal Unit 4).pdf
Certificate of Title 477544 (Registered Lease L8095351.7).pdf
Unit Plan 403088 (Part 1).pdf
Unit Plan 403088 (Part 2).pdf
Consent Letter - Telfer Young (Canterbury) Limited.pdf
Consent Letter - BDO Christchurch Limited.pdf
Consent Letter - Colliers International.pdf
Statement of investment policy and objectives (SIPO)
A SIPO tells you where the fund managers are coming from. It sets out the governance and management framework, philosophy, strategies and objectives for this investment.
MRF2 SIPO_12 April 2024.pdf
Strategies and objectives for this investment
Additional details
Scheme manager
Name
MAINLAND CAPITAL INVESTMENT MANAGEMENT LIMITED
Type
NZ Limited Company
Website
NZBN
9429031419130
FSP Number
Supervisor
Name
COVENANT TRUSTEE SERVICES LIMITED
Offer details
Date registered
02 November 2017
Date opened
17 January 2018
Date closing
22 January 2018
Further payments may be required
No
Restrictions on transfer
No
Convertible product
No
Intending to list
No
Schedule 1 exemption
No
FMA exemption
No
Reference numbers
Offer
OFR12211: MAINLAND RETAIL FUND 2 TRUST
Scheme
SCH12199: MAINLAND RETAIL FUND 2 TRUST
Next steps
Want to know more about this investment or how it compares to others? Have a look at its peers.
Product disclosure statement
Take a deeper dive into the PDS, which has essential details about this offer and the company providing it. Here's more on how to read a PDS.
Getting investment advice
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Interested in investing in this offer? Visit the provider's website. mcap.co.nz