Strategic rationale.
Novere Capital’s strategy reflects a deliberate maturation of the way we approach real estate investment: the transition from opportunistic residential projects to relevant commercial assets capable of generating stable and predictable income streams. This is not merely a change of focus, but a change in investment rationale — from isolated opportunities to a coherent portfolio managed as a system.
Transition towards a recurring income-based investment model
Three calibrated horizons designed to transform the current platform into a mature institutional real estate investment vehicle, with a target asset base of approximately €100m by the end of 2028.
"Novere Capital’s strategy is built on a mix of investment lines with different risk and return profiles, creating a coherent portfolio capable of adapting to market cycles. The direction is clear: increasing the share of recurring-income commercial assets, which provide predictability and stability. We are growing with discipline — through selection, analysis and active management — towards a mature portfolio that is credible to institutional investors."
Dan Petrișor, CEO Novere Capital