In today’s unpredictable and fast-paced financial world, our ability to know when to move, how to move, or when to wait for the right moment gives us the competitive edge to maximize your returns and harness the value of your assets.
Our keen foresight has been demonstrated time and time again through years of experience in numerous cycles, asset classes and markets and helps us challenge grounds where other herds have yet to go. We are armed with our core values of commitment to our investors, partners and employees, integrity in how we conduct business, and adaptability and stability through the constantly evolving market conditions.
As a registered fund manager by the Monetary Authority of Singapore, we seek to invest in opportunistic transactions and platforms that generate top-tier returns.
Assessing markets
- We spend significant effort in researching market fundamentals and macro/micro economic and real estate conditions to arbitrage cycles.
Purchasing undervalued properties and fixing them
- Given the current market conditions, we are mostly focused on adding value to mismanaged properties thereby taking execution risk versus market risk. This value-added strategy we have been focused on for several decades.
Flexible approach and structuring
- We apply a non-conventional approach centered around valuing accuracy, quick judgment and optimal structuring to create value.