The MAVEX Framework™
A Systematic Approach to Property Investment
Method First, Promise Second
Every property project we take on follows one rule: no guesswork. We start with modelling — costs, timelines, exits — and act only when it stacks.
MODEL
QS-level cost planning before the bid. Every number verified, every risk calculated. We build comprehensive financial models that account for all variables including market conditions, renovation costs, and exit strategies.
ACQUISITION
Targeted purchase with end-value mapped. We buy with the exit strategy already defined, ensuring every acquisition aligns with our investment thesis.
VALUE ENGINEERING
Conversion, planning, uplift. Strategic improvements that maximize return potential while maintaining cost efficiency and timeline adherence.
EXECUTION
Build & manage with precision. On-time, on-budget delivery through proven systems and experienced contractor networks.
EXIT
Flip, refinance, or yield-based exit
Why Our Framework Works
The principles that make MAVEX consistently successful
Risk Management
We identify and mitigate risks at every stage, from initial modeling through project completion.
Data-Driven Decisions
Every decision is backed by verified data, market analysis, and professional assessments.
Systematic Approach
Repeatable processes ensure consistent results across all projects and market conditions.
Investor Alignment
Our interests are aligned with investors through co-investment and transparent reporting.
Professional Networks
Established relationships with QS, contractors, and legal professionals ensure quality delivery.
Market Expertise
Deep knowledge of local markets enables optimal acquisition and exit timing.