Real Estate : Overview
To unlock long-term value within the real estate arena, H&A Holdings Group maintains an unwavering focus on the execution and sustainability of its real estate ventures. The company’s holdings span across multiple sub-asset classes, from consumer retail to financial services facilities. This diversity provides valuable balance to the portfolio and ultimately achieves the optimum level of risk-adjusted returns.
H&A recognizes the importance of active portfolio management for successful real estate investing. Their comprehensive oversight ensures a disciplined acquisition and disposition strategy. During the underwriting process, H&A adheres to its own rigorous examination philosophy which involves canvassing the geographical area, researching micro and macro-market trends, and reviewing property-level economics to determine and conceive an exit strategy.
In addition to the management of its portfolio, H&A participates in capital allocation strategies among real estate centric venture funds that withstand its core valuation objectives. The company has an acute focus on seeking strong management that is effective and transparent when implementing and executing fund objectives.
H&A’s meticulous examination philosophy and hands-on portfolio management style permeates all aspects of their investment strategies. By combining their unique methods with an extensive knowledge base and vast industry network, H&A executes real estate ventures that deliver consistent, sustainable returns.