Expansion
Modernisation of operations
Building modernisation
Development
Reducing risk
By carefully selecting properties from diverse segments, we reduce risk while targeting well above average returns.
Diverse portfolio
The fund's portfolio consists of properties from diverse sectors, where we expect a significant increase in their value.
Supervision and regulation
We are a qualified investor fund supervised and regulated by the CNB.
The initial investment in the fund is CZK 1 000 000 or € 42 000.
Low risk, high reward
Working with a diversified portfolio of mixed segments within the Czech and Slovak Republics allows us to reduce risk and maximize return. We focus on properties in the late stage of development or in the transitional phase of the investment cycle, which creates unique opportunities for value enhancement. The fund’s investors thus participate directly in the return on the appreciation of the properties before they are sold. Through active risk management, we target a return above 10% p.a. over the 5-year holding period.
Investment Strategy
Investing in specific real estate types is challenging; know-how and the right vision are essential for success. Thanks to our experience, we understand market trends and recognize investment opportunities that we can increase the value of. We also invest in property development. We can target returns well above the market standard thanks to detailed analysis and business plan preparation.
- Building modernisation
- Increasing usable area
- Transforming building purpose
- Growth in operating or rental income
Diverse portfolio
We strive to have a sector-diversified portfolio. This allows us to reduce risk while selecting opportunities to deliver the desired return on investment. A well-balanced real estate portfolio thus protects investors from the negative effects of inflation.
- Logistics and light industry
- Retail parks
- Residential
- Mixed purpose
Experienced team
Our team comprises professionals with years of experience in real estate investment, asset management, and development. The fund is part of the Crowdberry group, and can therefore draw on know-how from other sectors. This allows us to monitor broader macroeconomic trends and regional details and optimize the fund’s strategy based on these.
- Professionals from various fields
- Experience from domestic and foreign markets
- Multidisciplinary know-how
- Broader investment ecosystem
Investment process
Contact
Contact with the investment team and communication
Documents
Sending investment documents and forms
Signing
Signing the contract and transfer of funds
Reporting
CB Property Investors shares and regular reporting
Timeline
2020
Founding of CB Property Investors
2021–2024
Real Estate Acquisition / Signing Investors / Selling Portfolio Properties
2026–2028
Share buyback from investors
2026–2028
Sale of parts/whole portfolio