Fund Management

Transparent information and performance indicators

At Deutsche Investment fund management, the demands on both the asset and the property management are developed, implemented and checked. As a fiduciary asset manager, Deutsche Investment has an obligation to the investors and ensures that all fund and real estate-related services are implemented in the best possible way for the investors’ benefit. The aim is sustainable value development of the real estate portfolio as well as achievement of the stated key performance indicators.

Based on the corresponding real estate figures, long-term planning models and ongoing fund forecasts are drawn up by the fund management. These are intended for the target/actual comparison of the fund performance as well as checking and controlling the risk structure.


Our fund managers control and monitor the departments involved as well as the external service providers. In addition, they draw up the regular fund reporting for the investors.

  1. At the end of the month, the significant figures for the fund are supplied in a standardised report. Our reporting here meets the usual requirements (particularly BVI standard) and takes into account the investors’ individual requirements.
  2. The annual report on the special assets is prepared in accordance with the market standard and, after auditing by the auditor, is sent to the investors at the end of the fund’s business year.
  3. In addition, Deutsche Investment reports personally at least once a year to the investors at an investment committee meeting on the developments of the special assets in the just-ended financial year, as well as on the future direction and corresponding forecasts.