Niam Niam

Our funds

Our main business area is to manage real estate funds with real estate investments in all sectors. We are active in Sweden, Norway, Finland, Denmark and Poland.

In the late 1990s and early 1900s, we collaborated with leading financial institutions such as Goldman Sachs, GE Capital and Morgan Stanley. When they sought local presence in the Nordic region, Niam became a natural choice of partner. Starting in 2000, we launched our first three funds with a particular focus on the Swedish real estate market. 

 

Niam Funds Coverage

Niam currently manages five real estate funds. Niam Nordic V (vintage 2011), Niam Nordic VI (vintage 2015) and Niam Nordic VII (Vintage 2018)  all three follow an opportunistic investment strategy, while Niam Nordic Core-Plus I (vintage 2012) and Niam Nordic Core-Plus II (Vintage 2016) follow a Core-Plus strategy. 

Our opportunistic funds target 18% -20% gross returns (approximately 15% net returns) and our core plus funds target approximately 10% net return.

Fund strategies

Opportunistic Strategy

Niam Opportunistic Funds

Core-Plus Strategy

Niam Core-Plus Fund Strategy

  • Since 2004, we have totaled more than €3.9 billion in equity, primarily from global institutional investors such as pension funds, state funds, endowment funds, insurance companies and financial institutions
  • We have managed more than €10 billion in total invested capital since 2000, of which more than €6 billion has been realized
  • We have a total of over €3.2 billion in assets under management in all sectors in the Nordic countries
  • More than 80 institutional investors have invested capital in our funds

Contact

Jennifer Andersson
Jennifer Andersson
COO/Head of IR & BD, Sweden
+46 8 5175 8559