Our Portfolio Strategy
Our PORTFOLIO STRATEGY will enable us to achieve superior risk-adjusted returns through a disciplined acquisition approach and proactive asset management.
PORTFOLIO VALUE-ADDED INITIATIVES
To create portfolio quality by securing long-term net lease assets that meet our investment criteria.
DISCIPLINED ACQUISITION APPROACH
To directly source sale-leaseback transactions focused on four key criteria:
• Fundamental value of real estate
• Transaction structure and pricing
• Creditworthiness of tenant
• Criticality of asset to tenant’s business
PROACTIVE ASSET MANAGEMENT
Opportunistic Investment as tenants are secured:
• Lease extensions
• Contractual rent increases tied to CPI
• Expansions, Renovations, and Redevelopment
• Follow-on deals
CAPITALIZE ON OPPORTUNITIES
Our access to a diverse set of market opportunities will allow us to focus on building a quality portfolio and cash flow.
ADHERING TO A DISCIPLINED ACQUISITION APPROACH
We will stay disciplined in our underwriting and will not chase deals for the sake of short-term earnings growth when we do not have conviction of their long-term value and risk-return characteristics.
PROACTIVELY MANAGE OUR REAL ESTATE PORTFOLIO
We will proactively manage our real estate portfolio as it is created, making value-add investments with our tenants, maintaining high portfolio occupancy rates and extending our weighted average lease term.