Our principal objective
We create and manage efficient office space with enduring appeal to our tenants. For our shareholders, we strive to generate superior and sustainable risk-adjusted returns through the active management of our German real estate portfolio.
We are an active asset manager
We buy and manage office properties in Germany. As a long-term-oriented owner, we focus on the expansion and active management of our property portfolio. We have a fully integrated operating platform and manage the assets throughout their life cycle. Close relationships with our tenants, a high degree of social responsibility and dedicated employees ensure a sustainable revenue base. For our shareholders, our strategy facilitates a stable and predictable cash flow and adequate risk-adjusted returns. We carefully manage risks and consistently seize opportunities. Through the active management of our real estate portfolio and the balanced financing structure, we ensure the strength of our balance sheet, minimize the volatility of our earnings and optimize the risk-return profile of our company. Our investment policy is continuously adjusted to the market situation in order to unlock the best earnings opportunities and secure future returns.