Effective risk management is key to the successful performance of any investment vehicle. Real estate risk is multi-dimensional and may stem from a variety of factors, some of which are outside our control. Culturally, the team is naturally averse to risks that we deem cannot be satisfactorily controlled or mitigated.
At Clearbell, we take a disciplined, cautious and analytical approach to our risk management processes within a strong internal governance framework. Our well-defined and robust processes are developed and refined to help mitigate against risks that arise.
Our processes involve a high degree of teamwork, controls, risk management and reporting throughout the life of all of our investments, from Responsible Investment initiatives to regular internal performance reviews and external audit reviews.
This considered approach has been successfully deployed during all the investment phases of our portfolio building on the market experience and the strong investment track record within the team.