Founded by Stuart Dawes and Peter McDonald, Gateway Capital works exclusively with institutional investors to drive value from real estate through defined investment strategies.
With a fully integrated management platform covering capital transactions, investment management, asset management, property management, development and finance, Gateway Capital focuses on assets and strategies where value can be added through both active asset management and asset development in order to deliver strong returns for our investors.
Our customer service team is ready to assist and address in any challenge you might have.
We strive to offer meaningful responsible investment strategies to help support investment choices.
We are confident that your investment requirements and target would be easily streamlined with our offer.
Our experts ensure you benefit from total transparency to achieve control and make better decisions.
We have provided over 60,000 investors with financial solutions that match their financial goals. We regularly update our platforms with the latest trading and analysis tools and continually add new learning resources to the Education Center.
Being one of the the most reliable investment commodity available, gold has proven to be a perfect way to diversify your investment portfolio and an excellent safeguard against volatile currency.
Real Estate stock trading we engage in active day trading on real estate units. Invest in our evergrowing real estate portfolio and earn dividends throughout the contract period.
We trade in cryptocurrencies and offer its investment opportunities to our investors, so they can benefit from this highly profitable industry.
Investing in agriculture means putting your money behind food and crop production, processing, and distribution.
Asset management refers to the management of investments on behalf of others. The process basically has a dual mandate - appreciation of a client's assets over time while mitigating risk.
A financial plan is a comprehensive evaluation of an investor’s current and future financial state by using currently known variables to predict future cash flows.