04 — Private Co-Investment
An alternative real estate strategy for accredited and high-net-worth investors. Small investor groups, design-led repositioning, geographic diversification across EUR, JPY and USD.
Why investors look here
Geographic diversification across Europe, Japan, and the US
Currency exposure across EUR, JPY, and USD
Scarcity of historical and character assets
Emotional premium pricing
Global mobility and second-home demand
Appreciation through repositioning rather than leverage
Illustrative case
Indicative return scenarios
| Horizon | Exit range | Net IRR |
|---|---|---|
| 18 months | €2.5M – €2.7M | 12–16% |
| 24 months | €2.7M – €2.9M | 13–17% |
| 30 months | €2.9M – €3.2M | 13–16% |
Illustrative returns shown after estimated transaction costs and sale-related tax friction assumptions. Actual results may vary. Not an offer to sell securities.