Strategy

Our Approach

Each new project is examined by Nirvana’s professional team and undergoes a rigorous underwriting and due diligence process. An asset management plan is maintained from the inception of each deal to ensure the realization of long-term goals. The company’s conservative approach focuses on fostering growth while mitigating risk.

Value Add

The ability to add value stems from identifying opportunities and expertly nurturing these investments, often through improved management and capital improvements. Nirvana fosters high returns through diligent, hands on asset management throughout the repositioning process. Improving Income-Producing B and C Class expect about 40% of return from Income / 60% from Sale

Capital Preservation

Nirvana invests in markets with stable, strong fundamentals designed to mitigate risk and preserve capital. Each project shares a common, straight-forward investment strategy of choosing high quality, well-located assets, purchasing properties at a discount to replacement cost and employing a long term, active asset management approach. Such a strategy has produced strong, risk-adjusted returns.

Diversification

Nirvana offers a diversified portfolio, covering a wide spectrum of geographies, asset classes, and yields. Investors are offered the flexibility to choose the right project to suit their needs. In fact, we encourage investors to spread their capital across multiple investments.