Why Revcap?

  • Independent and experienced management team without conflicts of interest.
  • Revcap targets an under-served segment of European real estate markets not well covered by traditional opportunistic investors.
  • Revcap is aligned with a proprietary network of operating partners which allows Revcap to draw on specialist expertise in each market segment. This is not a fund of funds model where discretion is ceded to multiple fund managers.
  • Multiple value-add strategies without relying on yield shift / market growth assumptions.
  • Operate with integrity and honour.
  • Nimble and flexible in approach; discreet and private.
  • Operate and underwrite pursuant to prudent guidelines. Strong focus on downside protection, break even positions and understanding financial sensitivity factors.
  • Co-Investing management company has a strong blend of real estate, capital markets and corporate finance expertise.
  • Risk culture – evaluate, mitigate, manage.
  • Clarity of exit strategy recognised as paramount.