CR is a Pan-European Investment Manager, focused on the real estate sector. CR is active in both equity and credit strategies. By rapidly and effectively evaluating and pricing  transactions, CR targets opportunities which take advantage of inefficient markets to achieve opportunistic risk-return dynamics; typically focussing on smaller issuances and transitional assets that do not fit the narrower parameters of traditional lenders in the UK and Europe.

Transactions include individual assets and loans or portfolios and are financed with capital raised from investors and financing partners in the form of both equity and debt.