Samsung SRA Asset management

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Business Area

Fund of Funds

We leverage the selection of leading global GPs and sophisticated fund strategies with a proven track record of superior investment and management experience in global markets, enabling regional and sectoral diversification of investments and portfolios. This allows for the implementation of effective investment strategies across various market cycles, based on diverse strategic investment experience that considers the correlation between risk and return. It enhances the stability and risk management of overseas investments and provides a wide range of investment opportunities that generate both consistent dividends and capital appreciation.

Equity Fund Investment

We generate returns by indirectly investing in funds managed by Global GP network with outstanding investment performance and a proven track record, aiming for superior investment outcomes and diversification.

Strengths of Equity Fund Investment

We secure a competitive edge in professional indirect real estate investment by employing strategies that balance risk and return, leveraging our Global GP network.

Experience with a Diverse Risk-Return Spectrum Strategies

We implement a variety of investment strategies, ranging from Core to Opportunistic, accumulating extensive experience across different regions and real estate sectors. This diversified approach allows us to construct optimal portfolios tailored to various Risk-Return Profiles.

Extensive Network of Leading Global GP network by Region and Strategy

We maintain active relationships with over 100 leading GPs across the U.S., Europe, and Asia. This expansive network enables us to swiftly access the latest market trends and investment opportunities, providing differentiated value to our investors.

Indirect Portfolio Management

Specialized fund managers, focused on indirect fund investment and management, carefully select and systematically manage funds. This expert-driven approach allows for agile responses to market changes, ensuring stable operations through continuous performance monitoring and risk management.

Key Strategies

We invest in funds that encompass a variety of income strategies across real estate markets in the U.S., Europe, and Asia.

Core·Core+

We invest in funds that focus on long-term investments in high-quality asset classes, aiming for stable dividend returns.

Value-Add

We invest in funds that target value creation through lease restructuring, renovations, and asset repositioning of undervalued real estate assets acquired at low cost through CAPEX.

Opportunistic

We invest in funds that target high capital gains through distressed assets, development projects, special situations, discounted acquisitions followed by stabilization, and strategic lending.