Skip to content
← Back to investors
SS

Other

Samsung SRA Asset Management

0
Contacts
0
Mandates
Data completeness 10%Sources: re_gps_excel_2026Also active as a lender — view in Debt Intelligence →

Mandate & appetite

Preferred strategies
Target geographies
Typical ticket
AUM
Real-asset allocation
Appetite

Investor profile

the real estate investment arm of Samsung Group In 2025, Samsung SRA Asset Management, whose parent company Samsung Life Insurance owns a 25% stake in Savills Investment Management, has selected Seoul-based Youngjean Yang as "representative of Europe" to spearhead the push. Samsung SRA floated ideas for a credit fund that could be marketed to European investors. One variation would see the debt fund first invest back into Korean real estate, and then later also potentially lend to UK and Contine

Similar investors

Comparable allocators

SA

Asset Manager

Samsung Asset Management

0 contacts
SL

Other · $206bn AUM

Samsung Life

South Korea

Institutional investor. based in South Korea. LP type: pension. AUM approximately 205.71 USD billion. Sectors: re_lp_top150_2026. Active real asset investor

Real Estate
0 contacts
SL

Insurer · $243bn AUM

Samsung Life Insurance

Seoul, South Korea

Samsung Life Insurance is a South Korean life insurance company headquartered in Seoul. It is a subsidiary of Samsung Financial Group and offers a range of insurance and financial products, managing significant assets under management (AUM).

0 contacts
SF

Pension

Samsung Fire & Marine Insurance (SFMI)

United States

0 contacts
SI

Other · $27.9bn AUM

Savills Investment Management

London, Netherlands

A specialist real estate investment manager managing €25.8bn for over 250 institutional clients. The firm has over 30 years’ experience with 380 people across 15 locations. It is an independent subsidiary of the Savills Group, a global real estate services provider founded in 1855 with over 600 offices globally. This network provides real time information, presenting unique insights, which our local teams leverage to extract maximum value for clients. The firm's purpose is to build prosperity by investing in resilient real assets, and its vision is to be a trusted partner, respected for its expertise in restorative real estate investment enabling people, communities and eco-systems to thrive. The firm are committed to achieving net zero carbon emissions across our assets under management by 2040. The firm’s investment proposition centres on four strategic convictions: Living, Industrial and Logistics, Debt, and Natural Capital, offering institutional investors solutions across the risk spectrum via pooled vehicles, separate accounts and joint ventures.

CoreCore PlusValue AddDebt+1
0 contacts
SI

Other

Savills Investment Management / Savills IM European Living European Living Fund (EU LIV), which targets a 4% net distribution and around 8% IRR over a 10-year period using leverage of up to 35%.

Fund manager. based in. Asset class focus: Industrial & Logistics, Residential. Geographic focus: Sweden, Spain, Netherlands, Germany. Sectors: logistics, residential. Active real asset investor

CoreValue AddReal Estate
0 contacts