Target
Deliver superior returns and dividends above the market yield to investors within the anticipated investment risks
Our Real Estate Funds’ core strategy is to invest at income producing properties in key domestic and international markets and structuring long-term and stable real property based portfolio. Since the establishment of Real Estate Investment Division in 2006, we have managed assets around USD 800 million, and amid the global financial recession and mass vacancy crisis in central business districts, our team have taken rigorous approach to develop from forward purchase development projects to stable and sustainable investment asset achieving the performance and building the platform of real estate fund management services.
Our values are to provide sustainable cash distributions to investors and prudently managing distributions over time by mitigating all anticipated and unpredictable risks, pioneer in seeking class A opportunities for our investors by local level research and implementation of hands-on management strategy.
Deliver superior returns and dividends above the market yield to investors within the anticipated investment risks
Based on the synergy generated by investment experts through rigorous risk management and moral compliance, we concentrate on building the competence on consistent advancement of asset management.
Active purchase on real property asset that meets to client-specific investment objectives
Active management to maximize long term net income and market value
Maximizing the investment effect through capital management strategy within the Fund period
Our team is made up of domestic and overseas organization to directly manage long term real estate investment and portfolio management. Starting from 2006, we have been the groundbreaker in overseas real estate investment while the overseas professionals have been proactively involved from off-plan developments to fund management with local-on-the-ground presence.
We collaborate with top domestic and international real estate companies and organizations and developed long term relationship for strong deal-sourcing, top down investment research, due diligence and securing finance to seek opportunities and create value added returns.
Our portfolio consists of prime grade A office buildings at core locations in domestic and overseas market where we have been proactively provided our expertise and knowledge in direct investment, development, asset management and disposal.
Especially with Midas Private Equity Real Estate Fund 3, which purchased a prime grade A asset in central business district of Seoul, Korea, has performed exceptional value return with 11% annual return and 1.56x fund equity multiples.
With such asset management experience and competitive investment insight, we are committed to deliver compelling solutions and expanding investment portfolio (office, retail, hotel and logistics) and add value for our clients and partners.
Checking
The information on returns on this website is only for reference. The information may not be most up-to-date. Midas Asset Management is not legally responsible for the investment decisions based on the information provided on this website.