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Investment Strategy
The Schuster Group name has become synonymous with quality real estate investment and development projects, sustainable building practices, and a disciplined approach to portfolio management.
The firm’s investment strategy is based on identifying undervalued and underperforming assets, and adding value through sustainable repositioning practices and hands-on asset management. Utilizing our market expertise we closely track market cycles and typically acquire assets during market lows, re-positioning the properties for highest and best use during market expansion, and conduct dispositions at market highs. For over 20 years we have consistently delivered strong
returns to our investment partners using this branded and honed approach to investment.
As a privately-held investment firm, the discretionary nature of the company’s
capital allows The Schuster Group to respond quickly and effectively to market
opportunities and to conduct accurate and real-time underwriting of our
investments. Utilizing a risk-adjusted investment model, capital is carefully
deployed into a diverse portfolio of properties.
The Schuster Group incorporates a vertically integrated operations structure,
including unique management characteristics, superior placement of key
management and administrative personnel, and an intense level of controls
throughout every aspect of our processes to ensure the highest level of
professional stewardship to our stakeholders and service to our customers.
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