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Strategies

Three positions on one spectrum.

Each strategy occupies a different point across the risk-return spectrum. All three are governed by the same core principle: buy the asset at what it is worth today, and earn the upside through execution.

Relative positioning — illustrative only
Risk-return axis

Income Properties

Core / core-plus position

Project Anchor

Structured / income-led position

Development

Value-add / opportunistic position

Lower relative riskHigher relative risk

This diagram illustrates the relative position of each strategy along a risk-return spectrum. It is not a forecast, a performance record, or a representation of expected returns.

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