We apply three decades of real estate investment experience to maximise returns
About us
Greenridge selectively pursues tactical opportunities across the real estate asset class. With a relentless focus on delivering relative outperformance, we apply a bottom-up, fundamentals-led framework to acquiring assets with attractively mispriced capital and income characteristics, always committing our own capital alongside that of our investing partners.
Our story
Over the course of three decades, Greenridge has evolved from a balance sheet investor into an institutional-quality investment manager underpinned by a proprietary and entrepreneurial mindset that treats all our investors’ capital as if it was our own.
Greenridge was established, Paul Simmons and Bik Bhuptani founded a real estate business to invest into compelling opportunities with their proprietary capital
Greenridge grew and moved operations to Central London HQ, based in Mayfair
Greenridge continued investing in high conviction themes and in executing a complex business plan, Greenridge completed its first single transaction returning in excess of £1m profit
Greenridge pursued strategic investment themes, targeting mission critical real estate assets in selected capital constrained markets
Select opportunities acquired with significant yield profiles across UK and Europe
Platform created in order to allow meaningful external participation, bolstering deployment and execution capabilities at the same time
Alex Walker joined Greenridge to enhance the origination, sourcing and execution of investments. Bringing institutional fund management experience to the team along a deep and trusted network
Greenridge expanded its operation and opened its first office in U.A.E.
Greenridge Opportunities Fund launched – Greenridge’s first diversified fund offering
Greenridge team continues to grow covering all verticals with new premises taken in Marylebone
Our approach
Our seasoned team draws on deep networks of relationships built throughout their careers to identify investments capable of delivering strong, dependable returns. Considering the exit from the outset, we look to drive in-life returns through future-proofing enhancements at the property level to boost occupier and investor interest.
“Our advantage lies in understanding what others overlook, the subtle mispricing, the misplaced risk, the market dislocations hiding in plain sight. We don’t chase trends; we anticipate them.”
Bik Bhuptani & Paul Simmons
Our process
Privileged origination
Decades of relationship-building and a proven track record of execution mean our team has regular access to exclusive off-market opportunities unavailable to other investment managers.
Careful stock selection
Considered due diligence and years of experience enables us to identify the right assets in the wider market context, which is critical to returns and eventual divestment.
Downside protection
Understanding every aspect of the asset, its context and the market we invest in allows us to mitigate potential downside before it arises.
Active management
Our team takes a proactive, hands-on approach to maximise an asset’s potential, driving in-life returns through future-proofing enhancements that drive occupational and investor appeal.
Exit optionality
Exit liquidity is a key consideration in our assessment of any potential transaction. We are always looking to maximise value for our partners, taking our intimate knowledge of markets into account we are positioned to attract genuine interest at any point in the cycle.