Since 2007, ImmoFinRE has managed four funds totalling some €400 million of investors' commitments to date.
Our aim as a team is to provide investors sustainable attractive risk-adjusted returns while moderating risks through deep but select diversification in opportunities as uncorellated as possible. A good example of our strategy is the portfolio of our fourth fund, ImmoFinRE IV SCA SICAV RAIF which presents the following characteristics:
USA, Canada, Germany, France, Spain, Italy, Nordics, Japan, Korea etc.
Specialist teams in their fields, either in a particular market or in a particular segment.
Fund IV provides its investors exposure to over 270 real estate assets, providing exceptional diversification.
Most of the portfolio's projects entail improving existing assets. Only c. 15% of ImmoFinRE IV relates to ground up developments, thereby reducing the overall risk.