ASX:KYN

Kyron Capital Group Fp Ordinary/units Stapled Securities (ASX:KYN) Share Price & Analysis

Get the latest Kyron Capital Group Fp Ordinary/units Stapled Securities (ASX:KYN) share price, chart, financial data and news. Kyron Capital Group (ASX: KYN) is an Australian real estate investment and funds management group operating across commercial, retail, healthcare, and hotel sectors.

About (ASX: KYN)

Kyron Capital Group (ASX: KYN), formerly operating as Elanor Investors Group, is an Australia-based real estate investment and funds management group headquartered in Sydney, Australia. Listed on the Australian Securities Exchange under the ticker symbol KYN, the entity trades as a stapled security structure comprising Kyron Capital Limited and the Kyron Investment Fund. The group specializes in originating, managing, and co-investing in high-yielding real estate assets designed to deliver strong income distributions and capital growth.

The group’s operational footprint extends across Australia and New Zealand, where it manages third-party investor capital alongside direct balance sheet investments. Its investment management operations encompass a broad portfolio of unlisted property funds structured across four core real estate sectors: commercial office, retail shopping centers, healthcare facilities, and hotel or accommodation properties. Across these specialized vehicles, Kyron Capital Group actively oversees property acquisition, portfolio repositioning, leasing execution, and capital expenditure projects.

Positioned as an established real estate funds manager in the Australasian market, Kyron Capital Group caters to institutional, wholesale, and retail investors seeking structured property exposure. The group’s strategic focus centers on acquiring mispriced or underperforming real estate, unlocking embedded value through active asset management, and expanding its fee-earning funds management platform. Its core value proposition lies in leveraging sector-specific expertise to generate attractive risk-adjusted returns while maintaining disciplined capital allocation across its property funds.

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