Our Strategy

Real estate investments constitute a significant part of the firm’s portfolio. We believe that creating a diversified portfolio adds considerable value and a steady potential for growth in the long run. Therefore we invested in all aspects of real estate - residential, commercial, high yield, and entrepreneurial.

In order to create a sense of balance, we devote a great deal of effort to methodically identify the most attractive markets, investment opportunities and local partners. Via our partnership with specialized real estate investment houses, we are able to reach interesting and high-yield ventures around the world. Our investments span from Eastern Europe to the United States, such as the renowned Landmark Building: Bush Tower (Office Tower) in New York, to Sofia in Bulgaria. Our presence and offices in strategic international locations, enables us to optimally manage our portfolio, both geographically and practically.

The company has offices in Tel-Aviv, Honk-Kong, Hungary, Bulgaria, Croatia and the Eastern USA. This offers the advantage of managing the investments In-House in a direct, controlled and independent manner. The company’s activity is carried out through its private subsidiaries where BD-Holdings is the managing partner. The company aims to create a value for its shareholders through maximizing its cash flows, appreciating its assets and increasing its dividend payments it distributes to its shareholders through the years.

BD-Holdings specializes in solid and traditional investments coupled with low and positive leverage, enabling economic stability and security. This modus operandi allows the company to collaborate with local banks in prosperous joint ventures.

The acquired knowledge and experience in the company, along with a direct proactive management approach and a clear acquisition strategy, allows the company to develop its business constantly and expand its portfolio to other territories.

The company’s business policy relies on investment planning, locating business opportunities, and qualitative risk management, constant and direct control over the company’s overall activity.

The company’s policy is to maintain high transparency level while maintaining maximum financial flexibility using minimal leverage and its equity.