Asset Rationalisation & Recovery Strategy

Developing strategies to support the changing nature of portfolio optimisation

Contribute to your Company’s overall growth by improving your real estate portfolio performance and recovery strategy.

Delfi Partners Asset Management practice develops strategies that support the changing nature of portfolio optimisation and workout, helping your business adapt to rapidly evolving market conditions. Economic uncertainty, cost pressures and increasing competition are just some of the reasons you need inherent flexibility. Delfi Partners provides advisory services on non-performing and non-core portfolios while providing recovery strategies, turnaround advisory, asset rationalisation options and interim management services to our private and institutional Clients.

Our local team of advisors can work with you to develop and manage a strategy that transforms real estate portfolio. We create a practical implementation road-map, with proactive change management and communication plans, to deliver enduring portfolio change. We also provide capital restructuring solutions and sourcing of equity, debt and mezzanine capital for recapitalisations, exit financing and targeted investments. Delfi Partners also sources opportunities under buy & sell mandates, preparation of virtual data rooms, oversight of due diligence processes and project management services.

For more information, contact our Asset Management practice on: