Unlock value across your real estate portfolio

Reveal tenant demand, asset quality and value impact to make confident decisions with a data-driven scoring model.
Score every asset across location, quality, tenant fit, DCF impact and CAPEX scenarios
Instantly identify where to hold, reposition, or exit to unlock value
Move beyond Excel and one-off advise to continuous portfolio-wide decision intelligence
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Occupiers optimise space.
Investors optimise yield.
Are they aligned?

Large portfolios are still managed through fragmented data and static Excel models. Demand and supply misalignment often becomes visible only close to lease expiry, leading to delayed decisions, missed opportunities and increasing value depreciation.
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No consistent, portfolio-wide asset scoring - no early indication of need for action
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Decisions are often based on outdated or incomplete data
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Repositioning potential remains hidden, causing missed opportunities to lead the market
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Annual reviews may no longer be enough in a world shaped by volatility, crises and uncertainty

Solution

A new AI-powered data model for better decisions

Our platform combines actual occupier demand with asset, market and portfolio data in one scoring model, automatically translating data into clear, actionable insights.

Asset Scoring

Evaluate location, building quality and tenant fit in one consistent model.

Automated Recommendations

Identify where to do nothing, lightly reposition, or fully reposition each asset.

Actionable Value Insight

Translate every option into initial DCF-based financial impact and CAPEX implication.

From data to action in weeks

Combine Data Layers

Connect macro data — rents, vacancy, location trends — with tenant fit and your asset data.

Apply Scoring Model

Evaluate every asset consistently across the entire portfolio.

Simulate & Quantify Actions

Model scenarios and quantify financial outcomes to support better decisions.

Built for the core asset management cycle

Large portfolios are still managed through fragmented data and static Excel models. Demand and supply misalignment often becomes visible only close to lease expiry, leading to delayed decisions, missed opportunities and increasing value depreciation.

Acquisition

Validate pricing with additional data points and identify repositioning upside before purchase.

Annual AM Cycle

Continuously monitor asset profiles and update annual plans with current demand and value insights.

Disposition

Maximise value by identifying and quantifying repositioning potential before sale.

Why us

Designed for real-world portfolio complexity

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Speed of Analysis
Fast turnaround and reduced asset management workload.
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360° Data Intelligence
Top-down market data meets bottom-up occupier demand.
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Stronger Asset Position
Identify how each asset can specifically improve its market position and value potential.
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Low Entry Barrier
Start with limited data, then expand with more granular data step by step — and see how it enhances over time.
A portrait of Florian Kornberger - Head of Sales and Account Management at spaciv

See your portfolio through a new lens

Understand where value is hidden, where action is required, and how repositioning can impact performance.

Request a Demo