Raising potential returns – through in-depth market knowledge
Good management of real estate funds combines the financial requirements of investors with the realities of the real estate business. Only those who know the individual markets and the local particularities at first hand can realistically assess the development. Engel & Völkers Asset Management can draw on the expertise of the global Engel & Völkers network, especially in terms of well-founded research, thus recognising potentials that go unseen by others.
The perfect mix – for the investor
When devising investment solutions, Engel & Völkers Asset Management is clearly guided by the investor’s specifications: what growth in value is to be achieved over what period of time? What risk–return ratio is acceptable? Are regular returns expected? At Engel & Völkers Asset Management, the selection of investments always follows the investor’s objectives.
Keeping an eye on the risks – in every phase
The future cannot be predicted. But the risks can be managed within the framework of effective risk management: clarity can be achieved, probabilities influenced and a solid foundation built. Because structuring, transaction, portfolio management and asset management are not merely theoretical concepts. All activities are integrated – the measures are brought together precisely for the goals of the institutional investors, both seamlessly and comprehensively.
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