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Alternative investment management

The profession of a financial investor in real estate is characterized by in-depth knowledge of the management and control of alternative investments. In managing these investments, they position real estate investments within a broader portfolio, compare them to other asset classes, and manage capital to ensure a balanced relationship between return, risk, and liquidity. This requires paying particular attention to diversification, market cycles, maturities, value development, financing structure, regulatory requirements, and alignment with investor objectives to make sound and economically viable investment decisions. This is crucial for their work and the real estate industry because alternative investments unlock additional sources of capital, make portfolios more resilient, and contribute to the long-term, professional, flexible, and sustainable financing of real estate projects.

  • For Financial Investors and Private Funds Managers

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