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Our Solutions

Tailored Solutions for
Every Objective

Beyond our investment strategies, Thunderbirds Holding provides comprehensive institutional solutions — from real estate financing to portfolio advisory and risk management.

Real Estate Financing

Thunderbirds Holding provides comprehensive real estate debt solutions — from senior secured lending to mezzanine financing — enabling sponsors and developers to capitalise on opportunities across the capital stack.

Our lending platform covers residential, commercial, and mixed-use properties across Europe and Asia-Pacific, with flexible structures tailored to each transaction's specific requirements and timeline.

Key Features
  • Senior secured lending up to 65% LTV
  • Mezzanine and bridge financing
  • Development finance for ground-up projects
  • Loan sizes from €10M to €500M+
  • Flexible term structures (6 months to 10 years)

Portfolio Construction

Our investment consultants work alongside institutional investors to construct robust, diversified portfolios aligned with their investment objectives and risk parameters — drawing on our full platform capabilities.

We combine quantitative portfolio optimisation with qualitative market insights to build portfolios that balance income generation, capital growth, and downside protection across market conditions.

Our Approach
  • Strategic Asset Allocation (SAA) development
  • Manager selection and due diligence
  • Portfolio monitoring and rebalancing
  • ESG integration and impact measurement
  • Customised reporting and transparency

Institutional Advisory

Thunderbirds Holding's advisory practice delivers independent strategic advice to pension funds, insurance companies, sovereign wealth funds, and family offices on real asset allocation and portfolio strategy.

Our advisors draw on decades of institutional investment experience to provide objective, conflict-free guidance on strategic positioning, manager selection, and portfolio construction.

Client Types
  • Pension funds (public and corporate)
  • Insurance companies
  • Sovereign wealth funds
  • Endowments and foundations
  • Ultra-high-net-worth family offices

Risk Management

Our risk management framework combines quantitative modelling with qualitative assessment to identify, measure, and mitigate risk across all asset classes, geographies, and market conditions.

We integrate risk management at every level of the investment process — from initial underwriting and portfolio construction through ongoing monitoring and reporting — ensuring robust capital protection throughout market cycles.

Risk Dimensions
  • Market and liquidity risk analysis
  • Credit and counterparty risk
  • Operational and regulatory risk
  • ESG and climate risk assessment
  • Stress testing and scenario analysis

Ready to Explore Our Solutions?

Connect with our team to discuss the right solution for your institution's needs.