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Cross-border Funds managed by GRE SGR
GRE cross border investment program has been set up to offer to investors 5 different investment strategies:
  • Core defensive: able to generate recurring income through investments in resilient assets located in top locations of main European Cities. Those strategies will invest in core products with limited asset management needs;
  • Core specialized: characterized by a specialized strategy in terms of asset class (logistic and shopping center) or asset management angle (core plus) with a focus on income distribution;
  • Value added: relevant asset management profile and generation of returns through capital appreciation. Refurbishment/ commercial risk is backed by strong locations;
  • CRE debt: debt strategy investing senior loan backed by real estate assets characterized by core/ core plus and value added profile typically located in central locations of major European cities;
  • Indirect Asia: dedicated Fund of Funds structure with underlying investment in most developed Asian markets (with a diversified risk return profile) to improve overall diversification investing on a global basis

Such strategies are implemented through 9 funds managed, through a delegation agreement received from a Generali Group Lux "AIFM", by "GRE SGR". Strategies are all characterized by:
  • Cross-country exposure in terms of underlying assets, boosting geographical diversification
  • High quality of underlying assets in terms of location, tenancy, physical features and ESG policies
  • Mono/single destination of use, allowing investors to independently allocate its capital across various destination of use based on its conviction and Strategic Asset Allocation
  • Moderate level of debt, increasing results but still granting low risk financial leverage