Lavida Yatirim Group’s financial research expertise is at the core of our value proposition and an integral component of our products and services. Lavida Yatirim Group's financial research team provides insightful, independent and decisive research that is designed to enable clients to make informed investment decisions. Lavida Yatirim Group
achieves research excellence through the quality of its staff and the depth of its analysis in the application of a rigorous research process.
Lavida Yatirim Group
is committed to helping businesses through all stages of their development. Our involvement with a client begins from concept and ends with implementation. In doing so the company has the ability to deliver an efficient investment management approach to private, corporate and institutional customers. We continue to look for opportunities where we can use our insight into the growth drivers of the underlying business. We believe that this is a more robust source of returns, over the business cycle, than a sole reliance on financial leverage and we invest with the primary intention of creating a measurable social impact.
Lavida Yatirim Group aims to provide high quality services and has the ability to give assured performance and delivery, whilst continually striving to seek ways of improving its services. It has a number of programs in force to monitor and measure its performance and the client’s requirements. Client satisfaction is the prime goal of the Joint Venture’s employees, which can only be achieved by their professionalism and dedication to meet the needs of the client. Lavida Yatirim Group has an outstanding track record in providing clients with finance.
Lavida Yatirim Group is uniquely positioned to ensure that investments awarded to it are effected successfully, given its technical and management capabilities and experience. Lavida Yatirim Group understands the critical importance of, and challenges associated with investment, and will deploy all necessary resource requirements in order to ensure that such projects are successfully executed successfully by enabling the clients with funds. Lavida Yatirim Group possesses substantial local and international expertise to ensure the successful achievement of the Client’s objectives. In conclusion, we wish to reiterate our readiness to take up any investment, whilst assuring you of our commitment in ensuring that the objectives of the Client are satisfactorily met.
Lavida Yatirim Group
provides variety of services through its Corporate Finance department, which includes:
- Financial Advisory
- Debt Capital Markets
- Short term and Long term loans
- M&A
- Special Situation Investing
Our funds are created to take advantage of lucrative opportunities in today’s emerging regional and local markets. We thoroughly study the opportunities presented with the latest methodologies, strategies, and financial models. We regulate our funds with performance monitoring (based on the latest research of performance reporting) and we always strive to improve our funds. At Lavida Yatirim Group we practice an ever-evolving strategy of being flexible to the customization required for reporting procedures for asset, property or facilities management. Through our platform, we offer our clients the benefit of local decision-making, leadership and relationships that are centered on and in your market. With the ability to introduce you to relationships nationally and internationally if required, our scalable services contribute considerably to your success. We believe that our extensive coverage and comprehensive experience make us an ideal partner to assist you in the achievement of your real estate objectives.
Our Asset Management Services brings together a partnership of the most experienced and respected managers. Lavida Yatirim Group has a substantial exposure to local and international real estate, through direct ownership as well as via private equity funds. The portfolio is a healthy mix of high- yield income generating core real estate as well as prime properties and land bank with a strong potential for capital appreciation. The aim remains to ensure relatively consistent total returns that are a hybrid of income and capital growth. Analysis of the strategic positioning in the asset management market, analysis of the competitive scenario, analysis of reference markets (institutional, insurance, private and retail channel), benchmarking of product supply, business plan development, advisory role for extraordinary transactions.