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Sector Focus: Real Estate

Building Enduring Value

Strategic capital deployment across premium real estate assets engineered for resilient income, operational excellence, and long-term institutional returns.

The Real Estate Investment Thesis

As global real estate continues to evolve, WhiteBird Group positions its portfolio to capture durable value through high-quality premium real estate assets with strong locations, diversified uses, and disciplined capital allocation. We target assets that deliver predictable cash flows underpinned by operational excellence and long-term capital preservation.

Our approach prioritizes properties with resilient occupancy, inflation-hedging characteristics, and exposure to premium pricing hubs. By focusing on efficient operators and assets with high barriers to entry, we convert real estate-linked operations into resilient, yield-like returns suitable for institutional portfolios seeking inflation-resistant income and capital appreciation.

Value-Add & Infrastructure Advantage

Beyond pure ownership, the backbone of reliable real estate performance lies in value-add strategies and integrated platforms. WhiteBird Group is actively expanding exposure to properties with embedded growth options, redevelopment potential, and mixed-use developments that provide scalable income with disciplined risk management. These investments support sustained value creation while offering attractive, contracted returns across market cycles.

AUM in Real Estate

$3.8B

Allocated across 11 key property markets.

Target Yield (Net)

9% - 13%

Projected IRR for current flagship real estate fund.

Sub-Sector Allocation

Residential 40%
Commercial & Offices 35%
Industrial & Logistics 25%