OUR STRATEGIES
Our goal is to build a compelling portfolio of real estate assets that
generate attractive risk-adjusted returns. To achieve this, we focus
our efforts in areas where we believe we are uniquely able to leverage
on our local knowledge, expertise and relationships. And then use the
most appropriate vehicles to achieve consistent results for our
investors:
OPPORTUNISTIC
We have been investing in opportunistic real estate in Asia
since 2002. This has provided investors with positive returns in
terms of equity multiple and IRR while minimizing downside risk.
We seek to acquire prime properties at below market prices
through complex strategies such as site assemblage, special
situations, and off-market private sales. We use our fully
integrated team to add value to the properties – by changing the
approved use for the property, renovation, repositioning and
re-leasing or complete redevelopment. We have expanded our
opportunistic investments across Phoenix’s entire Pan-Asian
footprint.
CORE/CORE+
We launched our first Core/Core+ investment vehicle in 2015,
focusing on High quality commercial buildings in Asia Pacific.
This strategy seeks to use Phoenix’s investment capabilities to
acquire prime properties and then utilize the Asset Management
and Project Management teams’ expertise to actively manage the
buildings with the goal of delivering market-beating returns
over the medium to long-term.
DEBT
We entered the real estate lending space in 2014 after
identifying significant opportunities in our identified
investment markets. We lend to credible borrowers who also have
a strong track record of real estate development in their home
markets. Frequently, Phoenix is able to leverage its integrated
team to better understand the underlying collateral and the
borrowers’ business plan, while giving value-added feedback to
the borrower and enhance their end product. Phoenix therefore
becomes a preferred value-added partner for developers.
OUR INVESTMENT APPROACH
We are a rigorous and disciplined value-oriented investor. Through our
fundamental analysis and thorough understanding of direct real estate
markets across the Pan-Asian region, we target only strategically
appropriate investment opportunities and then take a considered
institutional approach to investing, guided by several key principles:
SELECTIVE ACQUISITION
We are continually evaluating and reassessing our target markets
to determine the geographies, sectors and investment themes that
we believe will produce optimal returns on a risk-adjusted
basis.
ACTIVE ASSET MANAGEMENT
For every asset, we develop a tailored plan that seeks to
maximize its performance, creating potential and unlocking
intrinsic value.
RISK MITIGATION
We seek to manage risk through prudent use of leverage,
effective capital management, retaining a diversified portfolio
of assets and collaborating with specialist partners for large
or complex developments.
DISCIPLINED EXIT STRATEGY
We believe that identification of multiple exit strategies prior
to each acquisition and continual evaluation of market dynamics,
impacting such strategies, are fundamental to realizing value in
a timely manner.
OUR PORTFOLIO
We have assembled a well-diversified portfolio of assets in various
real estate sectors and locations.
Notes
This diversification allocation percentages are based on invested and
allocated equity of Phoenix Asia Real Estate Investments V, L.P.,
Phoenix Asia Real Estate Investments VI, L.P. and Phoenix Secured Debt
Investments, L.P. as of June 30, 2021. The allocation percentages are
subject to change and may differ significantly from the allocation
percentages set forth above. This allocation descriptions are solely
to illustrate the types of investments that have been made by Phoenix
Property Investors and do not in any way constitute projections for
future allocations. There can be no assurance that future projects of
Phoenix Property Investors will be able to achieve these allocations
or share these characteristics.