top of page
Over the course of our fifteen year history, the investment philosophy has become very simple: We invest in undervalued assets in high growth markets while employing a conservative leverage model that seeks to maximize annual cash flow. Our mission is simple: Build a portfolio of high quality, cash flowing assets, with long term financing. To achieve this, we anticipate holding our properties for a period of ten+ years. We find this long term view is by far the best hedge against short term market cycles, and also provides for maximum tax efficiency.
High quality assets
Investment type
Core-Plus
Value Add
Opportunistic
Preferred Equity
Objective
Income + Growth
​
Distributable cash flow
COC Objective
10%
Equity Objective
2x+
Hold Period
5-10 Years+
Long Term Financing
Term Objective
7-10 Years
Typical Leverage
50-60%
Placement
Life Insurers
Conduit CMBS
Direct Lenders
bottom of page