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Strategy

We commit resources to a limited number of carefully selected, highly promising investments in thoroughly researched markets and sectors, in order to minimize risk for our investors.

GPI aims to utilize its experience to create a diversified and balanced portfolio across countries and asset classes. Our focus is on iconic projects in prime locations in first-tier cities. The bulk of our experience is in office, retail and mixed use projects, but we have also analyzed and consulted on a number of hotel, logistic, and/ or residential projects and would consider investments in such projects.

In order to fulfil both short and long term investment targets, GPI has a developed a dual investment strategy of:

  1. initially investing in development projects in need of additional financing via short-term mezzanine loans and equity arrangements and
  2. simultaneously securing long-term control of sites for Class A development projects.

This combination of mezzanine loans and preferred equity transactions (in the short term) and site control agreements (in the long term) will ensure that the Fund minimizes the risk throughout its life span.

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