We have developed an extensive network of professionals in every facet of the real estate industry that provide us with up to date market information regarding capital costs, economic forecasting, and transaction trends. We then internalize that information into proprietary valuation forecasting that allows us to determine when the optimal moments are to shift our investment focus or exit from a specific asset. Furthermore, we provide our investors with multiple opportunities to exit our portfolio if their investment expectations shift. Generally, we provide our investors with a myriad of options for exit which include refinancing/recapitalization, investor buy-out, outright sale, partial stake sale, and a hybrid of these scenarios.