OUR INVESTMENT STRATEGY
Our investment strategy is grounded on rigorous data-driven decisions. We leverage our financial aptitude, deep market research, extensive experience in architecture and urban planning, and local networks to identify opportunities that will result in idiosyncratic investments with higher risk-adjusted returns.

Unlocking and Creating Value
We create and sustain value by repositioning underperforming and undermanaged properties, solving complex situations, and creating unique, differentiated properties.

Identifying Compelling Niche Markets
We focus on non-major markets with attractive fundamentals, limited competition, and substantial upside potential.

Cultivating Local Partners
We cultivate partnerships with best-in-class local operators with profound geographic expertise and deep relationships in a market.
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Timing the Market Cycle
We take a flexible approach to portfolio construction during periods of distress. We are ready to capitalize on opportunities presented by event-driven dislocation such as Covid-19. We leverage the flexible, long term nature of our capital partners by acquiring and selling assets at the right time in the cycle.
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Maximizing Cash Flows
We provide a dependable cashflow stream to investors. By maximizing cashflows and reducing reliance on the residual value, we derive a significant portion of the returns.

Aligning Objectives
We are committed to our objectives and all our stakeholders are personally invested in every deal.
OUR INVESTMENTS
INVESTMENTS
Investment Type
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Holding Period
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Flexible Holding Periods
Property Value
Up to $15M
Value-Add and
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Opportunistic Investments
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ASSET CLASSES
Multi-Family
Class B & C properties
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30 - 150 units
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Industrial​
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Last-mile distribution or Flex
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Up to 100,000 SF
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