
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. Ultimately, we believe this strategy to be the single greatest pathway to wealth creation that is available today.

High quality assets
Investment type
Core-Plus
Value Add
Opportunistic
Preferred Equity
Objective
Income + Growth
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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