Investment Strategy

Metropolitan is focused on delivering attractive risk-adjusted returns through strategic investments in multi-family residential real estate. Our national platform targets high-quality, under-valued properties in markets that exhibit strong fundamentals and long-term potential. We focus on international gateways and centers for global and regional commerce — markets broad and deep enough to sustain a constant flow of demand by well-educated renters who prefer luxury residential accommodations. We excel in these vibrant markets where competition is based on factors other than price.

Risk Adjusted Return on Investment

Discipline at Every Stage

Metropolitan applies a disciplined approach to every decision from assessing potential acquisitions to investment structuring to day-to-day management. Metropolitan carefully seeks out assets with strong fundamentals and opportunities for operational improvement, all the while maintaining strict pricing discipline when buying or developing properties.


Understanding Capital Markets

Metropolitan has a deep understanding of capital flow cycles and how they impact real estate investment opportunities. This insight guides all buying and selling decisions to ensure assets are acquired and sold under the most favorable financial circumstances.

Careful Debt Management

Metropolitan meticulously manages debt levels to ensure the health and resiliency of an asset under all market conditions. Metropolitan skillfully uses debt to maximize asset value and maximize investor returns.


Emphasis on Risk Mitigation

Managing investment risk is critical to achieving consistent returns. Metropolitan takes great care in analyzing the risk profile of each property prior to acquisition. The Company has in-depth knowledge of local market dynamics and a thorough due diligence process developed over many years of investing in multi-family investments. Metropolitan mitigates risk by investing in properties with the right fundamentals, clearly identifying and underwriting risk factors, and applying the relevant operational expertise to each asset individually.