Portfolio Development & Asset Management for Investment Properties.
4.5 – 6.0% p.a.
Target annual yield of the portfolio, generated from stabilized net rental income.
8.0 – 11.0% p.a.
Expected total return of a Core+ positioning over the intended holding period, calculated net of all costs and fees — realized through ongoing income and value appreciation at exit.
1.4x – 1.6x
Projected total capital return relative to invested capital over the intended holding period, including ongoing distributions and exit proceeds.
min. 3 years
The holding period is fundamentally flexible and depends on market conditions and the objectives of the respective investment — ranging from medium- to long-term, with no exit being enforced.
Capital allocation in investment properties — from strategy to execution.
Structured development of real estate portfolios in line with clearly defined investment objectives.
Operational management and ongoing development of the existing portfolio.
Targeted identification and assessment of investment properties.
Comprehensive support throughout the acquisition process — from due diligence to notarization.
Strategic preparation and execution of portfolio disposals.