The aim is to develop an optimum strategy for your portfolio of premises. Together with you we prepare cash-flow studies over several years with due consideration to property- and location-specific factors of your premises and with the help of all relevant property data.
In such cash-flow studies the ideal periods, which e.g. are to be considered for marketing activities but also for refurbishing and modernising measures, are simulated.
In such a manner we accompany you in developing and realising optimizing strategies for your portfolio and supervise their being put into practice.