The Avora Capital investment approach relies on building a disciplined portfolio backed by rigorous research and a strong focus on security. We pride ourselves on our entrepreneurial and opportunistic approach, always aiming to increase the return on investment and capital appreciation.
We pursue strategies that complement and build on our core capabilities. Combining deep industry sector and market expertise with a collaborative, knowledge-sharing culture, we are constantly seeking out investment opportunities that allow us to take advantage of the inefficiencies in the real estate markets and maximise return.
We rely on sound economic theory and rigorous research to create a list of well-performing assets and a strong focus on capital preservation to help us deliver long-term, repeatable results.
Our Risk Management team oversees all aspects of financial risks and interacts closely with the Portfolio Management team. We focus on a well-constructed portfolio upfront which will over-perform in good markets and protect our client’s capital during difficult markets. Together, we aim to ensure that portfolios are manageable and robust enough to withstand any sudden and adverse events.
We aim to generate consistent performance by systematically applying the same approach across all sectors. We believe that a multi-factor investment approach, harnessing underlying drivers of performance, will generate consistent returns long term.