The fund is designed to maximise investor returns by creating large and predictable annual rental income surpluses which will:
"Create a property portfolio that generates cash surpluses annually for distribution to investors as dividends which can also be packaged and sold to an institutional investor at exit"
The key features of this policy are as follows:
To raise up to €8m in shareholder equity from private investors.
Build/acquire properties meeting the requirements of the fund’s pool of anchor tenants.
Develop a long-term working relationship with a sizable, efficient and reliable construction company.
Develop a pool of market leading “anchor” tenants.
Secure these tenants with long term leases ensuring predictable long term cashflow.
Negotiate favourable finance facilities with the fund’s lending bank.
By March 2012, the portfolio should be capable of generating annual rental incomes of c €2.6m.
Make timely and correct strategic asset management decisions.

To exit the investment by selling the portfolio to a large institutional investor between 2014 and 2016.
To download a summary of the key features of the Greenman AUTO fund please
click here .
Should you require detailed information about the fund's investment strategy, please apply for the fund's Investor Memorandum by
clicking here.