MNK One pan-european yield fund offers professional investors the possibility of a regular income over the duration of the fund while gaining access to diversified real estate markets with high valuation potential*.
* The value of the investments and the income derived from them may fluctuate and the client may not recover the full amount initially invested.
Controlled risk thanks to multi-class and multi-country investments
A possible liquidity can be obtained during the life of the fund**
Direct access to fund managers coupled with regular reporting on the portfolio under management
**according to the rules defined in the placement memorandum of the fund – this fund invests directly or indirectly in real estate which is less liquid than shares or bonds”.
“The difference between investment and capital is the value you give it”.
In an environment where investors are looking for stable and sustainable yield solutions, MNK Partners capitalizes on its multi-sector expertise and European experience to achieve this goal.
We offer our investors the platform to understand and manage their real estate investment.
MNK ONE, our pan-European yield fund structured as a Luxembourg RAIF, meets these objectives by acquiring commercial real estate assets throughout Europe through one strategy with a dual approach :
– Invest in Western Europe with a selective strategy to only acquire core assets that offer attractive returns given the price compression in these markets.
– Invest in Central and Eastern European countries where opportunities in PRIME/CORE quality assets are presented with attractive returns and value creation potential.
The MNK ONE portfolio includes assets located in major and dynamic European cities. Leased to first-class tenants with firm long-term leases, they allow investors to receive stable and sustainable* income over the duration of the fund (8 years).
In addition to our expertise and convictions, we adopt a rigorous investment process to offer capital appreciation potential to our investors.
MNK ONE offers professional investors a real estate solution with a diversified return, focused on the European market. Our transparent approach and controlled fee structure puts the investor’s interest at the forefront of our activity.
MNK One fund is managed by a team of co-investor managers who share a strong common experience. Alongside the investors of MNK Partners, they bring a solid and recognized experience in the European market.
The managers of the MNK One fund rigorously select the investments they make and attach the greatest importance to environmental, social and governance concerns.
We manage fund raising growth to give investors a stable dividend as well as an attractive performance over time as an uncontrolled fund raising would both dilute the returns of existing investors and rush the fund into over-priced acquisitions.*
**unguaranteed return and risk of capital loss
MNK One fund offers a fully transparent and controlled cost structure, enabling it to realize the best possible performance for its investors.
MNK Partners does not implement a specific policy regarding the consideration of ESG criteria.
– exhaustively present the investment funds or solutions (hereafter the “Funds”) recommended, managed, or set up by MNK Partners ;
– constitute an offer or solicitation to sell units or shares in any of the Funds referred to on this site, by anyone in any territory where such an offer, solicitation, or distribution would be deemed illegal or where the person responsible for making said offer or solicitation is not authorized to do so, or to any person to whom such an offer or solicitation is prohibited.
The Funds mentioned on this website are currently authorized for active marketing in France, Belgium and Luxembourg. Numerous eligibility, regulatory, or statutory restrictions and conditions, which are either not described or mentioned only in highly summarised form on this website, apply to the subscription or acquisition of these Funds, how they are presented and promoted by intermediaries (based in particular on the investor’s place of residence), the eligibility criteria related to the investor (particularly based on his or her financial knowledge, financial strength, regulated or unregulated status, varying categorization from one country to another, etc.) or to the minimum required investment per the Fund’s documentation.
Generally speaking, MNK Partners’ Funds are intended only for professional investors or the equivalent and for well-informed investors depending on their countries of residence.
The risks, commissions, and investment horizons recommended for the presented Funds are indicated in detail in the Fund Placement Memorandum, which must be provided to the subscriber before any subscription or acquisition. This official documentation is only available from entities of MNK Partners or partnering third parties expressly authorized or mandated by MNK Partners, sometimes exclusively in a given region and/or a defined segment of investors.
The value of those Funds’ investments and the revenue arising from them may go up or down and are in no event guaranteed. The amount initially invested might not be recovered.
As an asset management or wealth management professional, it is incumbent on you to be aware of and to adhere to all legal and regulatory provisions in force in any relevant territory.
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