RE Fund-1
Regulatory Framework Advances in Indian Markets

Residential real estate – Scaling new heights

Unbridled & Under-serviced demand across India

Investment Framework & Strategy
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Invest in top micro-markets of South India with a focus on Bangalore with steady demand.
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Focus on growth corridors with a focus on corporate employer presence.
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Invest in mid-segment residential developments.
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Evaluate investments with robust risk mitigation framework.
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Invest in time-sensitive opportunistic asset segment, through secure capital structure.
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Partner with established Grade A developers and strong regional developers.
Operational Guidelines
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Single Project not to exceed 25% of find corpus.
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Focus on high growth micro-markets.
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Exposure to a single developer or group not to exceed 25%.
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Focus on sustainable growth.
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Focus on CSR & Social initiatives.


Investment Philosophy
Developer Selection – Our developer selection framework focuses on a deep understanding of a partner's core values, reputation & track record. Rigorous research into a potential partner's financial health, market perception and C-level track record. Above and beyond these criteria, we also have interpersonal relationships with our partners at the promoter level for additional hold on our investments.
Location – Bangalore is India’s highest yield residential market with record-breaking growth in demand. We employ data-driven decision-making to select the best micro-markets within Bangalore to maximize investor returns.
Entry Criteria – We diversify across a healthy pipeline of land developments, greenfield projects and development stage projects across Grade A developers and strong regional developers to find outsized returns with acceptable levels of risk. We keenly observe macroeconomic developments across the land sector, giving us an edge to pivot to any upcoming opportunity offering outsized returns.
Risk mitigation – Our robust risk mitigation framework allows microscopic evaluation of each opportunity to eliminate any risk of capital loss, possible delays or misuse of allocated funds. We look at opportunities offering us an exclusive lien on the project, backed by promoter-level guarantees, pledged collaterals and more.
The Northstar Edge – Key Differentiators
Partners
We have partnerships with multiple International Property Consultants, Financial Institutions & Developers of outstanding track record and reputation, giving us the ability to diversify our investments and tap into hidden market opportunities.
Team
The founding team has an unblemished track record of 75+ years of advisory, asset management and investment management.
Risk Management
Our risk mitigation framework is robust, tried and tested. We limit exposure to any one developer/market/project by leveraging our partner network to explore a diverse deal flow otherwise unavailable to the market. Additionally, we only invest in special opportunities that afford us an exclusive lien, backed by additional promoter guarantees including pledged collateral etc.
Track record
We have a history of over two decades of advising more than a thousand investors across asset classes, and managing assets, in fiduciary capacity, of over 1,500 Crores. Over the past decade we have a 100% on-time return distribution track record.
Investor Focus
A significant rolodex of repeat investors is a testament to our ‘investor first’ ethos, commitment & performance.
Deal Origination
Our experience of 75 plus years has cultivated a network across every major developer in the country. The ability to leverage this network to mine opportunities & originate deals is our trump card. It also enables us to lower acquisition cost to the fund, resulting in higher return.an exclusive lien, backed by additional promoter guarantees including pledged collateral etc.