Established in 2004, SC Capital Partners Pte. Ltd. (SCCP) is an employee-owned, Asia Pacific real estate investment manager headquartered in Singapore.
The firm has a 19-year track record across Asia Pacific and has a diverse pool of over 60 institutional investors globally. With 56 people and presence in seven countries in the region – Singapore (HQ), Australia, Hong Kong, China, Japan, South Korea and Vietnam – SCCP’s competitive advantage stems from being firmly embedded in local knowledge, cultures and jurisdictions, giving us the resources and networks necessary to execute successfully in the region.
SCCP manages the Real Estate Capital Asia Partners (RECAP) series of opportunistic real estate funds, a core-plus fund (SCORE+) and other specialised strategies.
The RECAP fund series focuses on value creation through refurbishing, repositioning and operating real estate assets and providing funding solutions where market inefficiencies and strong macroeconomic fundamentals yield attractive opportunities. RECAP is sector-agnostic, and invests across Asia Pacific.
SCORE+ invests primarily in core-plus real estate in six gateway cities of Asia Pacific, being Australia, Hong Kong, Japan, New Zealand, Singapore and South Korea. The fund seeks to offer investors stable and resilient income growth and long-term capital appreciation through active asset management and repositioning. The key themes of SCORE+ are urbanisation and growth corridors, education and technology.
The SCCP Group* also includes the managers of two listed REITs, Japan Hotel REIT (www. jhrth.co.jp/en/), the largest hospitality REIT in Japan, and TPRIME (http://en.tprimereit.com/), a commercial REIT in Thailand.
* Comprising SC Capital Partners Pte. Ltd. and affiliated entities (under the ownership and control of Suchad Chiaranussati either singly and/or together with his partners)
Investment principles & strategy
SCCP’s investment approach is agile and sensitive to local market conditions.
We believe in cultivating strategic long-term partnerships through years of cooperation and dialogue, which have been instrumental in building our successful track record.
We seek to achieve attractive risk-adjusted returns through both our opportunistic and core-plus funds while mitigating downside risks by ensuring that we have a sustainable capital structure that supports our strategies.
Our experience allows us to successfully execute various strategies across the risk/return spectrum, including active asset management, refurbishing, repositioning as well as ground-up development and providing tailored funding solutions.
We take a hands-on approach to the active management of our assets and every team member is committed to the success of each transaction.
SCCP holds a Capital Markets Services license issued by the Monetary Authority of Singapore to carry out the regulated activity of fund management as a licensed fund management company for accredited/institutional investors.