The investing philosophies of the fund are as below:
- Gain early-mover advantage by faster identification of deals leveraging on in-house knowledge & industry relationships.
- Leverage relationships with developers for proprietary deal flow.
- Maintain a well-diversified portfolio with a broad range of real estate assets across commercial, retail, residential and land development.
- Maintain well-diversified portfolio across development stage of assets to ensure appropriate risk-reward balance.
- Partner with highly credible developers across geographies.
- Optimally manage overall capital structure with appropriate levels of leverage for maximising returns.
- Prepare a clear, time-bound exit strategy for every investment decision.
- Leverage of the past development experience for effective and implementation of projects invested.