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Portfolio diversification with real estate
Deliver superior, risk-adjusted returns
Strategic regional approach and local market knowledge
Experienced asset management
Ceres Realty Fund targets high-quality real estate assets that provide strong current cash flow and demonstrate promising upside potential that can be realized within a three-to-seven-year period.

Our strategy is designed to be flexible and nimble, allowing the company to pursue acquisitions that may fall outside the narrow guidelines of large investment institutions.

Ceres Realty Fund:
Well-located commercial properties in central business districts, suburban, and in-fill locations
Mature, undersupplied markets with high barriers to entry, such as strict zoning
standards and limited land for new development

Focus on mid-sized assets from $10 million to $25 million. Typical assets are underutilized, oversold, mispriced or have been impaired by short-term leases or other inefficiencies in the capital market.

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The company creates long-term value and delivers superior returns by:
Capitalizing on manageable risk that is mispriced by the market
Converting underutilized real estate to more profitable uses
Repositioning underperforming assets through effective asset management

Disciplined Investment Process


Management Expertise
The management team averages more than 20 years of experience in institutional investing, redevelopment, and real estate operations with a proven ability to identify and execute value-added transactions. We have extensive experience assessing markets, underwriting commercial real estate risk, and implementing strategic asset management plans.

The Ceres Realty Fund team offers responsive, hands-on asset management and detailed communication with investors. The company maintains strategic relationships with property managers and real estate brokers. As a result, we maximize asset potential through disciplined management and aggressive leasing and marketing programs.