Real Estate

Altavero Capital invests in real estate across healthcare, essential services retail, and commercial sectors, focusing on assets supported by stable demand and long-term fundamentals. The firm has developed experience in acquiring and managing properties across European markets, building a diversified portfolio through a mix of direct investments and structured vehicles. Its approach centers on selecting assets with strong underlying quality, reliable income potential, and opportunities for active management, ensuring consistent performance across different market conditions.
Assets in healthcare, essential services retail, and commercial real estate
0 +
Assets Under Management (Real Estate Portfolio)
U$ 0 B+
Target risk spectrum from core-plus to value-add*
8%- 0 %+
Off-market deal origination through the ecosystem
0 %+
33 strong team in place to scale up acquisitions and management
U$ 0 B+ CAPACITY

Products & Platforms

Altavero Capital operates as a direct real estate investment manager, offering strategies across the risk spectrum to align with different investment objectives and return profiles.

Core and income-generating assets with long-term lease structures
De-risked strategies and build-to-core opportunities
Higher-return strategies focused on active value creation
Listed
Healthcare and Essential Services Retail
Unlisted
Commercial and themed opportunities
Unlisted
Healthcare and Essential Services Retail
Core-Plus to Value-add

Healthcare and Essential Services Retail

Opportunities
Healthcare, Commercial, Retail, Communities, Alternatives

Why Invest in Real Assets?

Real assets such as real estate, infrastructure, and land provide exposure to tangible investments with long-term relevance and inherent value. These assets are often supported by structural trends such as urban growth, increasing demand for essential services, and evolving global consumption patterns.

They can play an important role in a portfolio by supporting diversification, helping manage the impact of inflation, and offering the potential for stable, long-term returns.

Diversifies portfolios across asset classes
Supports returns that can keep pace with inflation
Provides exposure to long-term global growth trends