WE KNOW FROM EXPERIENCE THAT REAL ESTATE IS LOCAL AND THAT GOOD DEALS DON’T TRAVEL. REQ ALTERNATIVE INVESTMENTS HAS A HANDS-ON PHILOSOPHY TO OUR INVESTMENT APPROACH, VALUE CREATION AND RISK MANAGEMENT.
Our platform will comprise closed end value add funds and an evergreen structure with focus on stabilized income and lower risk. We have expertise in a variety of real estate segments and will continuously focus our strategy on investment themes which are frequently updated. We aim at enhancing our returns by having an industrial approach to real estate, including both debt and platform investing, where we can apply our real estate expertise. Our professional curiosity is the main driver for continuously developing our investment approach. We got local knowledge and invest with Insight. Our insight provides our investors with strong long term returns.
We have an industrial approach to real estate investments
We believe in creating opportunities together with stakeholders in the industry
In addition to the more traditional channels of sourcing, we will take advantage of the broad network within the REQ group
REQ Alternative Investments is a pure real estate player
Full focus and dedicated team, no potential for internal conflicts of interest
Fund setup and business model established to align investor and manager interest
REQ Fund I
We have an industrial approach to real estate investments and believe in creating opportunities with different stakeholders in the industry and take advantage of the broad network within REQ. REQ Fund I will invest in assets with cash flow that creates flexibility and stability. By being hands on with our investments and creates opportunities together with tenants we will promote the achievement of target returns and create value through building, developing, refurbishing, renegotiating leasing and improving the asset.
REQ Fund I will be considered and managed as an article 8-fund according to SFDR which entails that i) we will incorporate ESG assessments in our investment and capex decisions, ii) improve ESG-score for our investments during the holding period, iii) setting standards for ourselves and our suppliers that promotes ESG factors and iv) report ESG performance to investors, and authorities, as applicable
Article 8-fund according to SFDR
|Target size||NOK 2 bn|
|Fund term||8 years|