Focus on the Fundamentals
- We understand that investing is about finding the balance between risk and reward.
- We place a premium on protecting and preserving our capital by underwriting each asset using an intensive risk-reward analysis.
- We understand the cyclical nature of real estate and how it functions as a commodity with windows to buy, hold and sell.
- We consider the exit strategy to be as important as the acquisition.
- We add value through superior management and capital market expertise, applying those skills for asset and financial restructuring.
- We are willing to risk our own capital on every transaction, thereby aligning our interests with those of our partners.
- We remain flexible in our approach, basing investment decisions on shifting macroeconomic and demographic realities instead of some predetermined benchmark.