Facts & Figures

For further details on our Raiffeisen real estate funds click here:

The main pillars of Raiffeisen Immobilien KAG

Fund management
The fund management is responsible for systematic planning, management and controlling of the fund assets, and analyses market risks, returns and market potentials and locations, right down to the individual properties themselves. This allows market trends to be recognised early and concepts to be developed in line with the strategies employed. The results flow into the investment strategy.

Investment management
Investment management is responsible for implementing the investment strategy. The team uses its market expertise in pre-defined countries to select and purchase properties which fit in perfectly with the fund’s strategy. Review of the property’s qualities, such as location, age and condition of the structure, duration and design of the leases and tenant quality are key focal points.

Asset management
Asset management focuses on ongoing leasing operations, ensuring cash flows and maintaining the value of the real estate. As an active manager in a pan-European market, asset management is charged with taking a pro-active approach and recognising trends on the international market and changes in requirements related to the real estate at an early stage and reacting accordingly.

 

 

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