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INVESTMENT PHILOSOPHY

Godrej Fund Management is a leading India-focused real estate fund manager that strongly adheres to the principles of good governance and the highest levels of transparency. With our unique operator allocator model, we aim to provide superior risk adjusted returns to our investors, across asset classes as well as fund structures and strategies.

Our Approach

Focus on Value Creation

Adherence to Investment Strategy

Process-Driven Underwriting

Active Risk Management

Delivering distinctive performances through:

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ASSET

SELECTION

Differentiated screening process through our proprietary deal evaluation and risk scoring system

Disciplined and thesis-based deal identification efforts, backed by advanced data and market analytics

Leveraging Godrej’s national footprint in target areas to offer the best asset selection

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ASSET

MANAGEMENT

Active asset and risk management, with value adding interventions

Proactively fixing deviations to provide efficient results

Ensuring high-quality tenant management and optimized facility management

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INVESTOR

REPORTING

Customized asset and portfolio monitoring that comply with global standards

Consistent market tracking to keep the investors abreast of the latest developments

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