Investment Philosophy
Long Term Capital Growth
Royal Pavilion Holdings core investment philosophy is centered on long term capital growth with a focus on capital preservation with steady and consistent capital appreciation. To consistently grow capital through investment, capital must first be preserved. We deploy capital in proven markets with key income generators.
We are focused on investing substantial capital into institutional quality real estate investments in partnership with world-class investors and management, and aim to generate attractive risk-adjusted returns through growth and operational improvement.
Royal Pavilion's team creates alpha for its investors by actively originating, selecting, and managing its North American CRE direct investments, resulting in low-correlation investments independent of prior LP/GP relationships.
Diversified Investments for Risk Mitigation
We ensure that our focus on systemic risk mitigation through building a diversified real estate investment portfolio does not simply substitute market risk for our investments. Rather, we partner with investors from around the world and deploy capital across the United States in different states with different demographics to help us deliver superior returns for our investors.
Adding Value, not just Contributing Capital
Royal Pavilion acts as a strategic sponsor for the real estate assets it invests in. We aim to generate attractive, risk-adjusted returns through growth and operational improvement, not through financial engineering alone. Our global orientation allows us to leverage the industry expertise of our management teams, and to capitalize on differences in investment cycles across many regions.
Long Term Capital Growth
Royal Pavilion Holdings core investment philosophy is centered on long term capital growth with a focus on capital preservation with steady and consistent capital appreciation. To consistently grow capital through investment, capital must first be preserved. We deploy capital in proven markets with key income generators.
We are focused on investing substantial capital into institutional quality real estate investments in partnership with world-class investors and management, and aim to generate attractive risk-adjusted returns through growth and operational improvement.
Royal Pavilion's team creates alpha for its investors by actively originating, selecting, and managing its North American CRE direct investments, resulting in low-correlation investments independent of prior LP/GP relationships.
Diversified Investments for Risk Mitigation
We ensure that our focus on systemic risk mitigation through building a diversified real estate investment portfolio does not simply substitute market risk for our investments. Rather, we partner with investors from around the world and deploy capital across the United States in different states with different demographics to help us deliver superior returns for our investors.
Adding Value, not just Contributing Capital
Royal Pavilion acts as a strategic sponsor for the real estate assets it invests in. We aim to generate attractive, risk-adjusted returns through growth and operational improvement, not through financial engineering alone. Our global orientation allows us to leverage the industry expertise of our management teams, and to capitalize on differences in investment cycles across many regions.