As an asset management company, we are subject to the provisions of German investment law and are regulated by the German Financial Supervisory Authority (BaFin).
We invest the capital entrusted to us by institutional investors in specialised real estate funds in our own name and acting in the common interest, observing the principle of risk diversification.
Our operating activities and the individual specialised funds are subject to monitoring by both BaFin and the custodian bank, Bankhaus Sal. Oppenheim jr. & Cie., Cologne.
Funds pursuant to the Investmentgesetz (InvG = German Investment Act)
IVG Institutional Funds is the market leader for tailored property funds in Germany. The company has a wide range of expertise in both national and international property portfolios.
Community funds are set up for selected institutional investors. IVG Institutional Funds provides a real estate concept and looks for suitable investors, which gives the fund a very individual structure.
Individual funds can be created through the integration of existing real estate portfolios or the acquisition of new properties. The investor himself can define the extent of integration when the decision is made. Important achievements include the improvement of the return on the existing real estate portfolio and the gradual expansion of the geographical distribution.
Structured products
Institutional clients find a selection of structured products which are tailored to their specific requirements with respect to term, risk/return profile and other investment preferences.
Third-party asset management
Furthermore, IVG Institutional Funds also manages property portfolios owned by institutional investors via so-called direct mandates. Close coordination with the client enables the management of property portfolios throughout Europe. In doing so, the individual preferences of the respective clients are in the focus of the asset management.