Expertise you can count on

Invest in your future by making Alternative investment choice.

Emerald Managements Luxembourg is specialized on alternative management fund with a focus in real - estate lending.

Our Funds

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Our Alternative investments is characterized by strategic insights and a commitment to excellence.

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“Emerald Managements Luxembourg S.à.r.l (the AIFM) operates as a regulated Alternative Investment Fund Manager in Luxembourg, specializing in offering short to mid-term, real estate-secured loans to borrowers.

Our team of local transaction professionals in the United Kingdom, Germany, Spain, and Luxembourg possesses in-depth knowledge of regional market dynamics.

We provide flexible terms ranging from one to three years, allowing us to tailor solutions to clients specific needs with swift closing and rapid funding.

In alignment with the strategy outlined in the Offering Memorandum of each Sub-Fund, our specialization lies in the acquisition and repositioning of loan programs, serving as a financial lifeline to address clients unique requirements.

The AIFM collaborates with all parties involved in fund management, including depositories, issuers, distributors, marketplaces, and legal advisers.”

Prioritize Investor Protection

In today's complex markets, actionable insights and specialized assets are crucial for identifying opportunities and positioning for future developments.

Our experienced teams provide a unique perspective, facilitating confident decision-making. Focused on bridge funding for diverse real estate deals, we offer capital to qualified owners, investors, and developers.

Since 2015, our Luxembourg-based funds, including Luxembourg SIF and RAIF, have assisted clients in fulfilling financing needs. Supported by funds like the Marshall Bridging Fund, Emerald Protected Fund, and Emerald Mezzanine Fund, our strategies prioritize limited risk exposure and active returns through property enhancements. Our commitment extends beyond analysis; we prioritize investor protection to ensure a secure investment experience.

Capabilities

  • Guided by continuous monitoring and analysis of the long-term real estate market, our framework identifies property types with the potential for resilient investment performance.
  • We specialize in establishing an evaluation process that guides investors through Private Placement Memorandums (PPMs), quarterly reports, and provides essential information for market and returns analyses.
  • Each market underwriter has a geographical focus.
  • We explore specialized sectors with significant investor interest to generate portfolio returns.
  • We believe that non-traditional sectors offer enhanced diversification benefits.
  • Considering the fund's size and tax ramifications, we navigate the complexity of the real estate tax landscape.
  • Positioned to benefit from the evolving real estate market environment, we enhance your investment journey through a strategic vision that blends innovation with opportunity, extending beyond conventional approaches to deliver customized solutions.

Our team, clients and shareholders are at the center of our values

  • Taking an active approach to investing means looking to offer investors access to a specialized market with a clear focus on our clients.
  • Throughout market cycles, teams of specialists have applied local insights and perspectives to optimize results. This clear point of view allows us to identify the most compelling opportunities now, while positioning for the next step.
  • Our specialist ensure that our fund size benefits from pricing helping ensuring portfolio maximalization.
  • We seek to work in partnership with our clients to help ensure access to opportunities tailored to suit investment goals.
  • We firmly believe that independence, valuing dedicated employees and shareholders, and a strong sense of responsibility are the foundational drivers for cultivating a long-term partnership approach.
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Why invest in
real estate ?

Develop your
vision

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And what about the environment of high inflation?

During inflation, real estate offers stability, tax benefits, and acts as a potential hedge in uncertain stock markets, diversifying investment risk. Appreciation in property values may contribute to overall returns, highlighting real estate's low correlation with both stocks and bonds.

What about Liquidity ?

The Fund enhances liquidity through a blend of qualitative and quantitative measures, employing safe collateral and prudent valuation to safeguard investor capital. With the ability to allocate 40% of Assets Under Management (AUM) within three months, strategic financing in key sectors, along with market flexibility, fortifies liquidity access.

Think Long Term

Real estate investment offers benefits such as predictable cash flow, high returns, tax advantages, and portfolio diversification.

With carefully chosen assets, investors can build wealth through property appreciation and profitable business activities, providing an alternative for those seeking investment without the need to own, operate, or finance properties.es

Fund Overview

Bridging the gap in real estate finance


Marshall Bridging Fund

Marshall Bridging

Emerald Mezzanine Fund

Emerald Mezzanine

Emerald Protected Fund

Emerald Protected

Terrano Iberian Opportunities Fund

Terrano Iberian Opportunities

Given the heightened volatility tied to new economic conditions in traditional investments, there is a growing appeal for alternative investment. As they exhibit lower correlation, offering a valuable means to balance portfolios and hedge against associated risks.

We benefit from the size of our funds, our investment approach remains agile enough to pursue alternative strategies and gain exposure to sectors that are better positioned.