Assets Under Management · Vintage 2019–2025
Commercial Real Estate · Institutional Grade
Closed Transactions
The Portfolio.
Every card is a closed chapter. Hover to read the thesis, the execution, and the return.
21.2%
Avg. Net IRR
2.4×
Avg. Equity Multiple
38
Transactions
One Harbor Plaza
New York, NY · 2019

Meridian Distribution Hub
Dallas, TX · 2020

The Westfield Assembly
Denver, CO · 2020

Arcadia Tech Commons
Austin, TX · 2021

Crosspoint Logistics
Chicago, IL · 2021

Helix Research Center
Boston, MA · 2022
Investment Strategy
A Thesis That
Compounds.
We operate across the risk-return spectrum — core-plus through opportunistic — with a consistent underwriting framework and an uncompromising bias toward basis.
01
Basis Discipline
We underwrite to replacement cost, not market sentiment. Every acquisition must demonstrate a durable basis advantage before capital is committed.
02
Operational Alpha
Returns are engineered through active asset management — lease restructuring, capex deployment, and tenant relationship management — not financial engineering.
03
Vintage Compounding
Each fund vintage builds on the last. Deal flow sourced through proprietary broker relationships and off-market channels developed over 15 years of market presence.
04
Institutional Process
Investment committee approval required on all transactions above $25M. Quarterly portfolio reviews with independent valuation. Full LP reporting transparency.
Portfolio Allocation by Asset Class
Primary Markets
Avg. Hold Period
4.3
Fiscal Years
Basis Advantage
34%
vs. Replacement Cost
The Principals
Institutional Pedigree.

James Harrington
Managing Partner & CIO
Blackstone Real Estate · Goldman Sachs Realty
"We buy where the basis is defensible and the thesis is executable. Everything else is noise."
$4.7B
Deployed
38
Deals
22 Years
Experience

Catherine Solis
Partner, Capital Markets
JPMorgan Asset Management · CBRE Global Investors
"Our LP relationships are built on one thing: delivering exactly what we said we would."
$2.1B
Deployed
21
Deals
17 Years
Experience

Marcus Okafor
Partner, Acquisitions
Brookfield Asset Management · Starwood Capital
"The best deals are sourced before they reach the market. Relationships are the edge."
$1.8B
Deployed
19
Deals
14 Years
Experience
Fund History
2009
Firm Founded
First close: $180M Fund I
2013
Fund II Close
$420M · Core-Plus mandate
2017
Fund III Close
$890M · Expanded to industrial
2021
Fund IV Close
$1.6B · Life sciences addition
2025
Fund V Launch
$2.2B target · Active deployment
Fund Documentation
Download the
Current Tear Sheet.
The Fund V tear sheet includes vintage performance attribution, portfolio composition, current deployment status, and target return parameters. Prepared for institutional review.
Allocate Capital Management