Our Services
Complexity meets Structure and Transparency.
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Superior investment performance with integrity, transparency and tailored strategies.
From Goldman Sachs to Invesco Real Estate, we provide tailored solutions that achieve real results in the Nordic market. Rubik’s structured, transparent process has guided major international investors to success in Nordic real estate.
We’re dedicated to deliver superior investment performance with integrity, transparency, and tailored strategies. Guided by patience and a disciplined approach, we pursue risk-adjusted returns through core+ and value-added strategies that reflect our commitment to minimizing risk and maximizing value.
From sourcing and underwriting to asset management and strategic disposition, we manage each stage of the investment lifecycle with precision, always aligning with our partners’ goals and risk tolerance. Our structured, value-driven approach ensures consistent, high-quality execution that enhances returns over time.
Like a Rubik’s Cube, we solve complex real estate challenges through clear, structured steps. Our foundation is a set of processes and structures established with the clear purpose of ensuring that asset management actions are systematically illuminated, clarified and prioritized.
Rooted in our core values of transparency, structured processes and integrity. Each asset follows a tailored asset business plan with clear, realistic targets, driven by a superior systematic and structured approach. The foundation of all work at Rubik Properties is a set of processes and structures encompassing data and workflows that ensure process security and management. The majority of data and workflows are systematically anchored in online and offline project management tools.
These processes and structures are established with the clear purpose of ensuring that management actions and workflows for all properties are systematically illuminated, clarified, and prioritized. In all aspects of our collaborations, we strive to provide full transparency. A transparent and comprehensive information foundation provides our clients a solid basis for monitoring asset management quality and making informed decisions about their investments and strategies.
Management of alternative investment funds, ensuring
compliance with EU regulations.
Rubik are registred at the Financial Supervisory Authority as a manager of alternative investment funds (FAIF). Our FAIF fund management services involve the comprehensive management and administration of alternative investment funds, ensuring compliance with EU regulations and focusing on delivering value and transparency to investors.
As a FAIF we ensure that the fund complies with AIFMD regulations, covering risk management, liquidity management, capital requirements and reporting and disclosure obligations to regulators and investors.
We are asset and fund manager of the fund “Commercial Real Estate Denmark P/S” comprising a large commercial portfolio of +30 assets on behalf various investors including four Danish pension funds.