KO 대한민국

European Private Real Estate Debt

  • AUM $1.8 billion
    (31 December 2017)
  • 설정일 2014
  • 투자형태
    • Separate Account

Investment Philosophy

Our investment philosophy emphasizes strong governance, oversight and transparency. We seek to invest our clients’ capital prudently in private real estate debt, and use state-of-the-art research, investment and portfolio management experience to guide our decisions. Our experience as both a borrower and lender ensures a thorough understanding of the underlying real estate and associated business plans, and provides for a pragmatic and commercial approach to debt transactions. We seek to add value by actively managing our portfolios through an integrated team of origination, servicing, portfolio management and finance specialists.

Our Value Add

  • Experienced: Our European debt team has a combined average of 18 years of industry experience across all major property types
  • Deal Access: Our longstanding relationships with a variety of market participants, along with our Pan-European regional office network, provides a significant proportion of off-market opportunities
  • Global Platform, Local Execution: Our local, Pan-European investment professionals leverage the expertise and considerable resources of our $28 billion global debt and structured investments platform
  • Track Record: We have a longstanding, favorable track record

Investment Solutions

Our European debt platform currently focuses on both senior fixed rate loans and opportunistic transactions across the principal European markets. Typical lending parameters are as follows:

  • Loan term: 7 – 20 years
  • Loan to value: Up to 65%
  • Jurisdiction: Principal European markets
  • Sectors: Commercial and residential investments
  • Pricing: Fixed rate with a spread over the equivalent UK gilt rate
  • Security: First mortgage




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