Current investment opportunities
Core, Core+

d.i.i. residential investment IV

Open special AIF
classification SFDR: Article 8**
max. 20% LTV

Cash-on-cash pa: Ø 4.0%*
Target return : 7.5% IRR*

d.i.i. German
Residential Fund 2

Open-ended Luxembourg RAIF
classification SFDR: Article 8**
max. 50% LTV

Cash-on-cash pa: Ø 4.0%*
Target return : 10% IRR*

* Non-binding forecast (expected transfer of ownership, benefits and burdens of the investment property to the property company) - the occurrence of the non-binding forecast cannot be predicted with certainty. Forecasts are not a reliable indicator of future performance. It cannot be ruled out that the assumptions, estimates, forecasts and statements made by third parties regarding the future economic development of the fund later prove to be incorrect. Achieving the forecast payments depends on a number of factors that cannot be influenced (e.g. future inflation developments, property value development) and cannot therefore be guaranteed. In addition, the forecast reliability decreases with increasing duration.

** Regulation (EU) 2019/2088 of the European Parliament and of the Council of November 27, 2019 on sustainability-related disclosure obligations in the financial services sector (“Sustainable Finance Disclosure Regulation” – “Disclosure Regulation”)

The products on this website are aimed exclusively at institutional investors; Distribution to private investors is also not permitted.

This overview does not constitute investment brokerage or investment advice, legal or tax advice, nor an offer or a request to make an offer regarding the purchase or sale of shares in the listed investment funds. Only the legally required sales documents of the listed investment funds are relevant. The purchase of shares is only possible on the basis of the legal sales documents, which are available from d.i.i. Investment GmbH using the contact details provided below. An essential part of these sales documents is the information document in accordance with Section 307 KAGB, which contains information about the present fund product, in particular information about risks, structure, any distribution restrictions and relevant tax matters, as well as, if applicable, the so-called “key investor information”. The information