Our in-house property management division ensures the timely and effective implementation of value-add strategies, while streamlining ongoing operations.
Our consistent deal flow allows investors to recycle capital through tax-efficient 1031 exchanges, growing their investments while deferring taxes.
Our ability to secure transactions at competitive pricing is bolstered by aggressive terms and supported by our proprietary capital.
We maintain strong debt relationships to secure competitive financing terms, minimizing risk while optimizing investor returns.
Our team is built on a foundation of ethics and transparency. We employ institutional best practices in reporting, enhanced by software like Investment Management Services (IMS), providing investors with convenient online access to track portfolio performance and distributions in real-time.
Our collaborative disposition analysis focuses on optimizing investment exits, evaluating recapitalization and refinancing opportunities, and leveraging strategic industry partnerships and broker relationships. By continuously assessing market conditions and timing, we aim to maximize value for our investors.