Our portfolio comprises existing assets distinguished by their unique value propositions and strong foundational qualities. Navika actively sources, evaluates, and structures intricate transactions. Through deep-rooted relationships with brokers, lenders, and brand partners, Navika gains access to the most compelling opportunities that are both widely available and off-market.
Our rigorous process involves a thorough assessment of hundreds of acquisition prospects annually. This approach has enabled us to develop a comprehensive set of underwriting criteria. These criteria guide our investment selections across core, value-add, and opportunistic categories, all aimed at delivering substantial risk-adjusted returns for our valued investors.
Our alternative investments encompass a diverse range of assets beyond our commercial real estate and hotel portfolio. Whether it be in private equity or credit, the common criteria include the potential for higher returns, lower correlation with traditional markets and often, a longer investment horizon.
Our active and cycled investments span a wide spectrum, encompassing various fields that align with our vision and mission. These fields include software development, wholesale and distribution, FF&E procurement, accounting, insurance services, and hotel management companies. Each venture within these domains is guided by our dedication to excellence, unwavering commitment to results, and the relentless pursuit of value creation.