Approach
Asset management is not viewed in isolation. Sourcing, transaction management, and portfolio stewardship are interlinked — providing a continuous view of risk and return across every stage of the investment.
Process reliability, a well-founded understanding of regulatory requirements, and transparent reporting form the basis of our engagement with professional capital partners.
Our interest is aligned with the long-term development of the respective portfolio — in the sense of stability and long-term capital preservation. This alignment guides decisions across every stage of the investment, rather than being driven by short-term activity incentives.
In-depth understanding of the cycles, locations, and demand structures of the German real estate market — the foundation for well-grounded investment decisions.
Fundierte Kenntnis der rechtlichen und steuerlichen Rahmenbedingungen von Immobilientransaktionen — von der Erwerbsstruktur bis zum Exit.
Direct oversight of acquisition, management, and disposal — without detours through external service providers or multi-tiered decision-making processes.
SIINUS CAPITAL positions itself as a partner for investors seeking a reliable and transparent structure for their real estate investments. Every decision — from the initial assessment of a property to the disposal of an entire portfolio — follows clear, repeatable criteria rather than ad hoc case-by-case judgment. This discipline provides predictability for clients whose own decision-making processes are themselves subject to high standards of transparency.
The standards underlying our approach continue to evolve — shaped by practical experience gained across numerous completed transactions and ongoing portfolio mandates. This experience feeds directly into the assessment of new investment opportunities and forms the basis for identifying opportunities early and realistically assessing risk.