Real Estate investments

Real Estate investments have the potential to generate returns through structural changes and economies of scale, for both listed and unlisted companies.

IMPORTANT. Past performance is not a guarantee of future returns. The price of the investment may go up or down and an investor may not get back the amount originally invested.

Real assets to diversify the portfolio

Real Estate investments are focused on ownership in real assets and the investment type is suited for investors seeking to diversify their portfolio. 

The market can benefit from structural changes, such as population growth and ongoing urbanization, which can open up for opportunities to generate long-term returns.

Coeli invests and provides exposure to the Real Estate market in both listed Real Estate funds and direct investments in unlisted Real Estate companies

Investment team

Our dedicated teams source new investment opportunities and analyze the companies in a comprehensive Due Diligence-process, which includes in-depth market analysis and thorough review of the investment team, key individuals, and growth plans.

Access our investments

Gain access to our investments through Coeli's investment network. The network is also open to industrial advisors and experts who want and can contribute to the ecosystem for successful company journeys.

Our Real Estate investments


Risks

Please note that there are always risks associated with an investment. Risks associated with unlisted investments (which are generally not associated with listed companies) are: low liquidity in the share; shares are locked-in as it cannot be sold as easily as listed assets with open market; risk of failiure to achieve growth targets; risk of bankruptcy; unlisted investments do not have the same transparency of shared information as listed companies. Past performance is not a guarantee of future returns. The value of the investment can both increase and decrease and an investor may not get back the full amount of capital originally invested.


Fastighetsaktiebolaget Trappan

A Real Estate company focusing on the acquisition of investment properties outside of large Swedish cities.

Coeli Holding Fastighet II

Investing in light-industrial Real Estate where there are residential development opportunities and projects.

Entita Fastigheter

A Real Estate company focusing on the acquisition of investment properties outside of large Swedish cities.

Coeli Fastighet II AB

Investing in light-industrial Real Estate where there are residential development opportunities.

Coeli Fastighet I AB

Investing in light-industrial Real Estate where there are residential development opportunities.

Gladsheim Fastigheter

A Real Estate company focusing on rental housing in Swedish cities and growth regions.

Please indicate whether you are a private or institutional investor.

Coeli may, pursuant to law, market one or multiple funds in several jurisdictions. By choosing an option in the list below, you confirm that you belong to one of these.

Den sammanfattande riskindikatorn ger en vägledning om risknivån för denna produkt jämfört med andra produkter. Den visar hur troligt det är att produkten kommer att sjunka i värde på grund av marknadsutvecklingen. Indikatorn speglar framför allt upp- och nedgångar i de aktier fonden placerat i. Denna produkt innehåller inte något skydd mot framtida marknadsresultat. Du kan därför förlora hela eller delar av din investering. Förutom de risker som ingår i riskindikatorn kan andra risker påverka fondens resultat. Se fondens fondbestämmelse för mer information.

Morningstars fondbetyg (rating) är ett mått som går att använda för att se hur fonderna har presterat historiskt. Fonden får ett högre betyg om den har haft en bra avkastning i förhållande till fondens risknivå. En fond måste ha funnits i minst 3 år för att få ett totalt betyg. Har fonden funnits längre än 5 och 10 år får dessutom betyg för dessa tidsperioder. Morningstars hållbarhetsbetyg är ett mått på de ekonomiskt väsentliga riskerna inom miljö, socialt och ägarfrågor (ESG) i en portfölj relativt till liknande konkurrerande portföljer. Hållbarhetsbetyget beräknas för fonder, förvaltningsuppdrag och index globalt, med hjälp av Morningstars databas med portföljinnehav.