Our real estate team has a proven track record and a unique hands-on investment approach, providing clients with exposure to UK and pan-European property. The team is located in key markets across Europe and has extensive experience of acquisitions and asset management, covering the full range of lot sizes. Our senior management team has an average of 25 years' experience in UK and European property markets.
Competitive advantages
Business free from any legacy issues
Unlike the majority of our competitors, our team is not distracted by legacy issues such as tenant insolvencies, over-priced assets or refinancing. The team is fully focussed on today's market, taking advantage of favourable pricing opportunities in the core markets of the Eurozone and the UK.
In-depth risk management supporting focussed stock picking
Fusing qualitative market research with proprietary quantitative tools, our real estate research analysts contribute to our in-depth due diligence and risk analysis. By focussing on well-diversified, high-quality portfolios, our clients benefit from a competitive risk/return profile which avoids a 'benchmark hugging' approach.
Experience managing through several property cycles
With an average of 25 years' experience, our senior management team has first-hand knowledge of working through several property cycles, across the full range of lot sizes. In challenging market environments, clients benefit from their good judgement and strong risk-management skills, with effective negotiation on deals.
Closer alignment of interests and an investor-centric management style
Our approach to real estate investment involves co-investment wherever possible and practical. This aligns our interests with those of our clients, which results in superior outcomes.
Our capabilities
- UK real estate
- European real estate
- Pan-European real estate
- Segregated management
- Club deals
- Climate Impact strategies