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Investment Philosophy |
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Focus
Fudo Capital focuses on value added, opportunistic and/or distressed investments in real estate assets. Geographical focus will be on Asia, primarily in Japan, China, Australia, Hong Kong, Singapore, South Korea and Taiwan. Fudo Capital seeks attractive risk-adjusted returns to investors.
Value-add strategies employed involve re-positioning, re-development, re-leasing, and refurbishment of assets. Investment size will range from US$25 million to US$75 million in equity with asset sizes under consideration ranging from US$50 million to US$200 million. Investments are pursued only if exit strategies over an investment time horizon of three to five years are clearly assessed and identified.
Why With Us
Fudo Capital is managed by an experienced CLSA Property Funds Management Team, primarily based in Hong Kong, China, Japan and Singapore. These investment professionals have a successful and demonstrable track record in the geographies of Japan, China, Australia, Hong Kong, Singapore, South Korea, Taiwan and Thailand and collectively provide business experience, knowledge and a local contact base required to handle complex transactions. Together with our active asset management and clear exit strategies, we aim to maximise returns for investors.
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