Catella has extensive transaction experience, which enables us to assess, analyse and validate the plausibility of research data. This makes us a reliable partner in analysis of property investment opportunities.
At Catella, we believe that in-depth market knowledge is a prerequisite for minimising bad investments. Ascertaining primary market data and evaluating secondary analytical data from the foundations for making profitable long-term investment and disinvestment decisions.
In particular, looking at the bigger picture gives our clients the foresight to make precise, strategic decisions and sensible investments. We create a robust background of information and explain this data to our clients instead of leaving them to find their way on the basis of mere market data alone.
Our national and international market monitoring system makes it possible to anticipate trends in the property market and to interpret and assess the situation accordingly. This approach minimises the level of risk.
Nowadays there is a wealth of market data available. The short-term nature and complexity of the property market often means that market information is imprecise. To operate successfully in the market, it is essential to provide the latest high-quality market information in order to identify opportunities and risks. Catella's focus in our analyses is on creating transparency and minimising risks.