– Excellent returns: all funds managed are top quartile, performing significantly better than other similar funds globally
– Limited risk profile: ALTAN’s investment model is focused on capital preservation. Each of the funds managed have on average 300-400 underlying investments and are very diversified
– Access to the best managers: ALTAN has proven access to best managers worldwide and a rigorous selection process
– Economies of scale: the investment in ALTAN allows to build a diversified portfolio of real estate assets with a significantly lower capital commitment than the one required to build a similar portfolio investing in other type of strategies
ALTAN currently manages three funds with very diversified portfolios of hundreds of investments globally that stand out for their excellent performance, offering superior returns than other asset classes and PERE funds of funds, being all of them top quartile of their respective vintages.
ALTAN intends to offer new funds and investment opportunities to its clients every 2-4 years.
|PROGRAM||VINTAGES||INVESTMENT STRATEGY||MARKET SEGMENT||LINK|
|Altan I Inmobiliario Global FIL||2007/08||Private Equity Real Estate Global||Large, Mid & Small||View|
|Altan II Inmobiliario Global FIL||2007/08||Private Equity Real Estate Global||Large, Mid & Small||View|
|Altan III Global FIL||2013/14||Private Equity Real Estate Global||Large, Mid & Small||View|