Investment Strategies

Our Investment Strategies

Real International’s investment strategies are tailored to its investors’ risk tolerance and risk adjusted return expectations. By understanding their source of funds, hold periods, and favorite asset classes, Real International matches real estate investments to the client’s goals. The company has extensive experience partnering with institutional investors as well as private investors.

Common projects for Real International vary between development, value-add, and core opportunities that typically invest as private equity or mezzanine loan. Our local expertise, full service staffing, and boots on the ground allow Real International to move quickly in reacting to market conditions.

Core Opportunities: Risk Mitigation

Core investments are considered the least risky because they involve stable, income-producing properties in prime locations. They have no structural issues and enjoy full or high occupancy with high-credit tenants on long-term leases. These are Class A properties with steady income streams.

Value-Add Opportunities: Premium Yield

Our value-add strategy is to own and operate a portfolio of high-profit, commercial real estate investments in the United States. Through our professional network, we seek to acquire high-quality value-add and opportunistic assets. We then improve our properties through hands-on management and targeted capital improvement initiatives.

Opportunistic: Capital Appreciation

These are projects we sponsor as general partners or participate as limited partners. As general partners, Real International has control and authority of the asset in order to drive value and protect our investors. Our investment focus spans land, office/flex, industrial, multi-family, retail, hospitality as well as single-family rental communities.

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