2025 - Real Estate Funds & Club Deals

Behind Makers fund, a real estate group of reference

Makers Fund is an AIF structured as a SICAV and authorized as an ELTIF by the CSSF in Luxembourg. It is managed by the Luxembourg-based alternative investment fund manager Ascender Fund Partners Luxembourg, which is authorized by the CSSF and has delegated portfolio management to MIMCO Asset Management S.A.S.

Facade of an ancient building reflected on the windows of a modern building next to a tree at sunset.
Logo MIMCO

MIMCO : real estate investor, developer and manager

Since 2016, MIMCO has been investing, developing and managing real estate assets in several European countries. A structured group that controls the entire life cycle of a project.

  • Sourcing

    Identify opportunities in the field, thanks to a network of local partners and a direct presence in the markets.

  • Transformation

    Renovate, reposition or develop assets to create value and improve their performance.

  • Acquisition

    Analyze, negotiate and structure transactions to secure the best entry conditions.

  • Management

    Monitor buildings on a daily basis, optimize their operation and support their development over time.

Stylized map of Western Europe with white dots covering Spain, France, Germany, and the United Kingdom.

Operating across multiple European markets since 2016

Over the years, the MIMCO Group has developed a comprehensive real estate platform, featuring specialized teams and a presence across multiple markets.

The achievements and figures presented relate to all vehicles and products managed or structured by the MIMCO Group. They concern products distinct from the Makers fund, and do not indicate its portfolio composition or performance. Past performance is not a reliable indicator of future results.

  • +€2.4 Bn

    Assets under management across MIMCO Group products

  • +55

    MIMCO Group Staff

  • +€9 Bn

    The MIMCO Group's Track Record

  • +60

    MIMCO Group Assets

A recognized group
among its peers

Beyond the numbers, the MIMCO Group has built its reputation on the quality of its operations and the trust of its partners.

  • Institutional partners

    Transactions conducted alongside recognized investors and key players in the European real estate sector.

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    Complex operations

    Proven expertise on demanding projects: major renovations, structural overhauls, and mixed-use developments.

  • Icon map

    Local anchoring

    A direct presence in key markets, with long-term relationships built with local stakeholders.

View of a modern office building with people working behind large windows and the MIMCO logo in front.

Recognized for our excellence and innovation

These awards were presented to the MIMCO group and pertain to distinct products from the Makers fund.

  • Excellent
    2026 & 2025
    Asset Management
    real estate operations
  • 2nd place
    2026
    Real Estate Private Equity
  • 2nd company
    preferred by wealth managers
    2025
    Category
    Unlisted Real Estate
  • Gold Trophy
    2025
    Club Deal Operator
    Real Estate
  • Award Winner
    2025
    Real Estate Fund
    & Club Deals

In-house expertise across the entire real estate lifecycle

Makers fund relies on MIMCO Asset Management's internal teams and a network of partners operating in European real estate markets. Each area of expertise contributes to the fund's operation in accordance with its investment policy.

  • icon clé

    Acquisition

    Identify and analyze opportunities, negotiate the best entry conditions.

  • Équipes spécialisées Mimco réunies autour d'un plan, avec Quentin Verschoren, Jean-Christophe Cheung et Olivier Guillebeaux
  • Icon Asset management

    Asset Management

    Monitor the performance of assets on a daily basis, optimize their exploitation.

  • Icon casque chantier

    Development

    To provide project management and strategic oversight of projects involving the transformation, refurbishment or repositioning of assets

  • Finance & Legal

    Structure operations and ensure regulatory compliance monitoring

Invest alongside
a reference player

  • From €1,000
  • 0% subscription fee
  • 10% Target IRR*

Leverage the expertise of the MIMCO group to build your European real estate portfolio. Institutional-grade know-how, now within your reach.

Investing involves a risk of partial or total loss of capital and a risk of illiquidity of the shares. Before investing, please consult the prospectus and the Key Information Document (KID).

Woman checking the 95.12 euro monthly distribution of her Makers Fund portfolio on her smartphone

What to know before investing

Makers fund is an AIF authorized as an ELTIF 2.0, structured as a Luxembourg SICAV. Its alternative investment fund manager is Ascender Fund Partners Luxembourg, authorized by the CSSF, which has delegated portfolio management to MIMCO Asset Management S.A.S. (MAM), an investment management company authorized by the AMF under number GP-21000018 and an entity of the MIMCO group. MAM also participates in the marketing of the fund.

MIMCO Asset Management (MAM), an entity of the MIMCO Group, acts through delegated management and participates in the marketing of the fund. In this capacity, MAM contributes to the following activities:
• Network: access to partners established by the MIMCO Group.
• Sourcing: identification of opportunities via the MIMCO Group's network.
• Management: asset monitoring by the group's asset managers.
• Analysis: due diligence performed by internal teams.

Investments are analyzed and selected by MIMCO's internal teams, composed of specialized professionals:

Acquisition team: sourcing, negotiation, structuring of transactions
Asset managers: operational monitoring and asset optimization
Development experts: management of works and transformations
Finance and legal team: structuring and regulatory compliance

Each opportunity goes through a rigorous analysis process and must be validated by a dedicated investment committee before integration into the portfolio.

The MIMCO group has internalized all the key skills of the real estate value chain:Sourcing: identifying opportunities in the fieldAcquisition: analysis, negotiation and structuringAsset management: operational management and optimizationDevelopment: project management and repositioningFinance: financial structuring and reportingLegal: compliance and operational securityThis vertical integration allows total control over execution quality and value creation.

The group operates in five European countries: France, Germany, Luxembourg, Spain, and Portugal. This local presence ensures direct market access, in-depth knowledge of regulatory environments, and hands-on asset management.

The group is committed to regular and transparent communication:Quarterly reporting: portfolio composition, performance, newsAnnual report: comprehensive financial year summary, audited accountsAccessible documentation: brochures, KIID, articles of association available onlineInvestor area: permanent access to your documents and dataInvestors are informed of the fund's evolution and significant decisions impacting the portfolio.

* Entry fees are commissions charged on the amount invested at the time of subscription. Other fees apply to this investment (management fees, exit fees, etc.). For complete information on all fees incurred, please consult our dedicated fees page.

** The target Internal Rate of Return (IRR) of 10% is an indicative objective, not a guarantee, based on market assumptions made by the management company at the time of the fund's inception. The scenarios presented are an estimate of future performance based on past data regarding the value fluctuations of this investment and/or current conditions; they are not an exact indicator. Your actual returns will depend on market performance and how long you hold the investment or product. Investing in the fund involves a risk of capital loss. Future performance is subject to taxation, which depends on each investor's personal situation and may change in the future.

*** The 6% distribution rate represents an annual target, not a guarantee of payment. The actual amount depends on rental income received and the conditions under which assets in the portfolio are sold.