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OUR STRATEGIES

At Harris Capital, we believe that a professionally managed asset portfolio should include a diverse allocation towards ‘core’ and ‘non-core’ assets. Our approach to investment covers a range of sectors and locations across the UK, with a view to increase value through development, scale and active management of assets to deliver against organisational priorities and expected returns. 

Macro Strategy

Our Core strategy offers low risk, stable income over the investment period, supported by moderate leverage and discretionary management of the asset. These investments tend to be occupied by credit tenants mandated by long-term contracts and interval income reviews to adjust cashflow in-line with interest and inflation. Core investments tend to use between 40% and 60% leverage and generate net annual returns between 10%-12%. 

CORE

Core

OUR OBJECTIVE

The investment objective of Harris Capital is to deliver attractive level of income together with the potential for income and capital growth as a result of its investments in, and active management of, a diversified portfolio of Assets.

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