Our philosophy is based on one simple fact: The quality and success of an open-ended real estate fund are determined by the quality of its properties. This clear guiding principle forms the basis of all our business actions. The fund’s management is therefore committed to making investments secured by real assets in the form of properties, which will allow the fund to continuously generate rental income over the long term. In this context, sound investing always takes priority over any form of speculation.
When building the portfolio, the fund management applies the basic principles of classic investment philosophy. Risk diversification is the top priority. This is performed in accordance with the legally binding investment rules and includes – along with the share of fund assets accounted for by the various properties – criteria such as their size, geographical location, and potential rental uses.