Our funds

Kenmore currently manages a property portfolio of £1.8 billion based on cost value which is split between eight specialist UK and European primary funds. The role of each principal fund is to acquire, manage and, in some cases, develop assets on behalf of investors, in order to deliver enhanced returns.

The Group uses its expertise to invest in asset classes and geographical locations where the current growth potentials remain unfulfilled and sets out to maximise returns through advancing business plans which generate capital and income growth. Kenmore is in a strong position to intensively manage assets and source deals locally through its network of offices.

KEIF

  • Listed on the London Stock Exchange
  • £140 million of equity raised pre-launch

 

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By sector (no. of funds)

Kenmore Capital

  • Fund capacity of £700 million
  • Joint venture with Bank of Scotland Corporate

 

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By fund type (no. of funds)