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Investment Philosophy
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Market oriented and opportunistic approach
- Diversity across property types and markets in Canada
- Balance market exposure and cycle volatility by investing in projects at various stages of their lifecycle
- Maximize project earnings by taking projects through the value enhancement process
- Blend land, development and income property investments to maximize returns and hedge against down cycles
- Conservative use of debt
- Use structure creatively to control risk
- Capture portfolio value for our activities by aggregating like kind properties through appropriate structures and strategic partnerships on exit
- Maintain multiple exit strategies to maximize return and flexibility
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