"To achieve the ideal balance between return and risk, we pursue broad diversification— geographically, by asset size, by asset type, and by tenant structure. Our goal is to generate stable, long-term cash flows for our investors."
Alexander Klafsky, Managing Partner, FLE GmbH
FLE follows a long-term, conservative, and opportunity-driven investment strategy, based on broad diversification, active risk management, and sustainable growth.
Defensive Acquisition Strategy:
Strict risk assessments and conservative scenarios for transparent and sustainable investment decisions.
Active Asset Management:
Low vacancy rates, minimal rent defaults, and continuous value enhancement through efficient processes.
Value-Added Real Estate:
Established properties in prime locations with high occupancy rates.
ESG Integration:
Sustainability criteria shape every investment decision and asset management process.
Sustainable Cash Flow:
Focus on Core and Core+ properties, complemented by opportunistic investments with manageable risk.
Solid Capital Structure:
Conservative loan-to-value (LTV) ratios and financing secured through regional lenders.
Diversified Portfolio:
Investments across multiple regions, asset classes, and stable tenant structures.
Investitionen in verschiedene Regionen, Nutzungsarten und Mieterstrukturen, z. B. Büro (55%), Hotels (15%) und Triple-Net-Verträge (25%).
ESG as an integral part of our strategy
ESG as an integral part of our strategy
ESG as an integral part of our strategy
We combine environmental, social and economic aspects in our strategy to create sustainable value for our investors and society.
Stability and responsibility for the future
With a clear strategy, long-standing expertise and forward-looking actions, we create sustainable, stable returns - today and for future generations.