Good day everybody!
I have done some questions for a company to ask. Unfortunately, I am not sure about the constructions I used. I would very much appreciate any corrections and suggested improvements.
The questions are below
How much of the capital do you have now in the fund to invest into real estate in CIS? What share of it are the proceeds of loan?Does the fund plan to attract any new loans?What are the fund major investors? What returns do they expect to get? Did they lower their expectations because of the crisis? Was there anyone who decided to exit?What is the fund existing period? What are the promised redemption yields?Was the strategy of the fund changed because of the crisis? Did you slow down the investments? What purchases has the fund made since it was started? How actively do you participate in joint venture with Storm Properties? When do you intend to complete the office park project? How much money is already tied up there?Which will be the best moment to start investing into property in ? When do you expect the bottom to appear?What time does the fund have ahead to make investments? Are you waiting for the bank sell offs in ? How much will it affect the property prices?What type of property is the most attractive to invest into at the moment? Do you consider buying a share in development companies? Or share of projects?What is more appropriate now – to buy land plots for development, undeveloped projects for future development or completed projects?How much of property is being proposed on the market today? Are there any distressed assets?What are the main differences between Russian real estate market and European? What are the risks and advantages? Who are the main buyers? Do oligarchs become a big competitor for the funds?Some foreign property funds decided to leave Russian market once the crisis started. Could you give your reasons for or against it?