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Our investment thesis focuses on acquiring and enhancing multifamily residential assets in supply-constrained urban markets across Israel and Europe, prioritizing resilience, value creation, and sustainability. Our strategy integrates targeted acquisitions, conservative financing, and proactive asset management to deliver consistent, long-term value across diverse regions
Acquisition Approach:

Target urban multifamily asset in supply-constarained

Seek value-add potential: renovations, operational efficiency, repositioning.

Focus on core-plus and value-add risk profiles.

Financing Discipline
Conservative leverage, typically 50–60% LTV.
Partnerships with leading European financional Institutions.
Hedging strategies to mitigate FX and interest-rate risks.
Asset Management:
Close collaboration with local developers and management companies.
Instituting capex programs to maintain competitiveness.
Strong ESG focus: energy efficiency, resident well-being, and sustainability.

Ayalon Living Capital
Our Strategy
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