Our Expertise
INVESTMENT MANAGEMENT
ASSET MANAGEMENT

FOCUSING ON SOURCING AND SUPERIOR EXECUTION
SOURCING: our 3-decades track record of successful transactions, spotless reputation and extensive network of trusted external advisors allows for a privileged access to off- or pre- market opportunities.
UNDERWRITING: our unique combination of a deep understanding of the real estate markets and financial expertise enables us to offer our clients state-of-the-art underwriting capabilities, precisely adjusted to their specific risk profile.
DUE DILIGENCE AND DEAL EXECUTION: based on a very structured and disciplined approach, characterized by a painstaking attention to details, we take pride in providing best-in-class execution, a key condition to successful transactions.

FOCUSING ON PRO-ACTIVE VALUE CREATION
Belvedere Capital performs a dynamic and pro-active asset management that is carefully planned during the acquisition phase and encompasses the full range of services: lettings, capex monitoring, tenant’s relationship, and disposition.
We place our tenants at the center of the asset management process, as we believe that their satisfaction is the main driver of value creation.
At all times, we act as owners’ representatives and we assemble ad hoc teams of the best specialists who share the same mindset.
Belvedere Capital enjoys a reputation of maximizing value-creation and of exceeding pre-acquisition business plans.
STRUCTURING AND FINANCING

OPTIMIZING TAX AND FINANCIAL MANAGEMENT
Our extensive experience of real estate fund management allows access to a network of financial partners, which enables to optimize the financial performance of each transaction.
We assist our clients in the search for and negotiation of debt financing and advise them on the optimal deal structuring, in consideration of their own criteria.
RISK MANAGEMENT

MANAGING RISKS AS A KEY PERFORMANCE DRIVER
Risk management is at the center of everything we do. In the pursuit of performance, we do not compromise with the degree of risk tolerance agreed with our clients. Indeed, with each client, we design a bespoke strategy with well-defined risk-return targets.
Our expertise in risk management stems from our more than 60 years combined experience in the best global real estate firms, across several market cycles and crises. During that period, we have developed our own “Natural Intelligence” system that enables us to swiftly identify and address critical issues during the transaction and asset management phases.
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