Aston Properties offers three investment scenarios for qualified investors.
Aston leverages it’s network of relationships and deep market knowledge to source 1031 exchange opportunities. The firm’s primary focus is identifying quality long-term locations and rigorously underwriting the durability of replacement property cash flows.
Aston’s long-standing and personal relationships with key financial institutions and commercial brokers enable us to source exclusive value-add opportunities. Furthermore, it is the company’s reputation with major tenants and fundamental market knowledge that has consistently added value to the properties that we acquire. Aston takes immediate action to move towards a profitable strategy which may include repositioning through redevelopment or renovation.
Target IRR: > 15%
Hold Period: 3-7 years
Aston sources opportunistic investments via non-conventional and direct channels that include bankers, brokers, receivers, mortgage special servicers and workout specialists. Opportunistic strategies include acquiring distressed notes secured by commercial real estate assets, lender owned assets, broken development deals and operating company insolvencies. Aston’s objective is to own and operate these distressed assets, and to determine appropriate exit strategies with targeted buyers.
Target IRR: > 20%
Hold Period: 1-5 years
Please contact Jamie Kneisel to discuss specific opportunities and track record.