Our Strategy
The Fund is structured to capitalize on market volatility over a 10-year investment cycle. Through a combination of liquidity, agility, and strong relationships, the Fund is uniquely positioned for growth during every phase of the current cycle, both up and down.
Read more
|
Our Position
Because the Fund is managed by builders rather than money managers, it cultivates assets through development and enhancement as well as market appreciation. The approach opens an unusual breadth of opportunities and the prospect for exceptional growth within a stable, value-based portfolio.
Read More
|
|