Investment Strategy

A Disciplined Investment Strategy for Sustainable Returns

Disciplined Risk Management

Protecting investor capital is central to our strategy. We mitigate risk through:

Conservative Leverage

We maintain prudent levels of debt to preserve flexibility and resilience.

Diversified Tenant Bases

Multiple tenants across industries reduce reliance on single revenue sources.

Long-term Hold with Opportunistic Exits

Our strategy emphasizes steady cash flow, while remaining positioned to capitalize on market timing for superior returns.