Investment Strategy
Royal Pavilion Holdings specializes in off-market portfolio buyouts of commercial real estate in partnership with its institutional investment partners including pension funds, family offices of ultra high net worth individuals, foundations, endowments and asset managers from North America, Europe, Asia and the Middle East. Our focus is on value added opportunistic real estate investments.
Our target investments include all real estate asset classes, including large Class A office buildings, multi-family residential, retail shopping centers and premium flagged hotels. Each of our investments is supported by our strong working knowledge of the operations of real estate assets and an understanding of what attracts long term tenancies, which ultimately creates value. We seek to identify undervalued, high growth, complex or distressed opportunities that have the potential to become strong and reliable sources of income for our investment partners. We employ an active diversification strategy, seeking to mitigate systemic risk through geographic diversification and to manage market risk through industry diversification. Our typical investment size in Real Estate is US$50 million to US$150 million per deal. Larger buyout deals can be between US$250 million and up. Strength through financial partnership is consistent with Royal Pavilion's strategy as a North American CRE buyout firm, operator and co-investor. We do direct investments and co-investments with sophisticated institutions in all of our Real Estate deals. |