We Aim to Mitigate Portfolio Risk by Diversifying Across a Range of Strategies and Property Types.

Men holding Contracts

Identity, Research & Land in US Emerging Markets:

  • We identify and hone in on emerging markets in the United States that are benefiting from strong Job and Population growth.
  • Invest in developing local networks and build teams and infrastructure to efficiently source and manage deals.

Deal Sourcing:

  • Leverage local teams and networks to identify and acquire “off-market” opportunities.
  • Focus on assets where our team can force value creation through active management and re-positioning.
  • Prioritize stabilized and cash flowing assets that can be repositioned within 18-24 months post acquisition.

Asset Management:

  • Continually monitor market conditions to identify peak exit opportunities, engage with market participants to continually identify optimal selling opportunities.

Disposition:

  • Continually monitor market conditions to identify peak exit opportunities, engage with market participants to continually identify optimal selling opportunities.
Man analyzing charts with city in background

Our Investment Platform

Value Add

Strategy:
Acquire and improve income producing B and C class
Multifamily and Mixed Use properties in
emerging market throughout the US.

Investment Objective:
Cash Flow & Long Term Capital Gain

Typical Hold Period:
5 to 7 Years

Opportunistic

Strategy:
Acquire and reposition Residential, Multifamily and
Commercial properties through strategic
rehab or ground updevelopment.

Investment Objective:
Short Term Capital Appreciation

Typical Hold Period:
6 – 36 months

BECOME AN INVESTOR TODAY!

GET STARTED