Real Estate Investment Management
Investment-house and fund-side discipline of strategy, capital raising, pipeline, decision governance, portfolio construction, investor relations, and fund-level performance for real-estate investment vehicles including REITs, non-listed funds, separate accounts, and joint-venture programmes.
Real Estate Investment Management (BC-4910) is a level-1 business capability in the Real Estate model. The catalog holds 0 API surface(s) from 0 provider(s) that can perform some part of it. Reach is the vendor surface that lands on this capability — it is not a claim about what any particular organisation has deployed.
Authorities this capability cites
Cited by the capability model itself. These frameworks are referenced, never redistributed, and citing one does not imply its owner endorses this listing.
- https://www.inrev.org/standards
- https://www.ncreif.org/
- https://www.epra.com/finance/financial-reporting
- https://www.reit.com/
- https://www.gresb.com/nl-en/
Sub-capabilities
Investment Strategy & Mandate Management BC-4910.10
Definition and stewardship of investment strategy, fund mandates, sector / geographic targeting, and risk-return objectives for vehicles under management.
Capital Raising & Fund Formation BC-4910.20
Formation of investment vehicles and raising of investor capital including structuring, marketing, and closing.
Investment Pipeline & Deal Sourcing BC-4910.30
Origination and triage of investment opportunities across direct acquisitions, indirect interests, and JV channels for the funds.
Investment Decision & Approval Management BC-4910.40
Investment-committee governance, approval workflows, and tracking of approval conditions for new investments.
Portfolio Construction & Allocation BC-4910.50
Construction and ongoing rebalancing of fund portfolios against mandate, leverage, and risk targets.
Investor Relations & Reporting BC-4910.60
Communication with limited partners and listed investors, execution of capital calls and distributions, and submission to industry indices.
Fund Performance & NAV Management BC-4910.70
Computation of fund NAV, performance attribution, and management / performance fee waterfalls including carry crystallisation.
Providers that reach this capability
No provider in the catalog currently publishes an API surface that reaches this capability. That is a real answer, not a gap in the page: much of what an enterprise does runs on internal systems that publish no API at all.