For each transaction, we complete an exhaustive due diligence process where we fully analyze all of the physical, legal, and business variables associated with each property. Before we complete any transaction, we gain a full understanding of downside risk scenarios and future capital needs. By capitalizing each transaction independently, we prudently manage financial risk.
Our disciplined investment process identifies attractive risk-adjusted investment opportunities in office, multifamily, industrial, retail, hotel, and specialized real estate, such as senior housing and self-storage. Omicrom's investment strategy easily adapts to the constantly changing market conditions, but is rooted in the fundamentals of risk mitigation and cash flow management.
We take a very hands on approach with each asset we acquire. We focus on operations, rent growth, lease-up and expense controls with a strong emphasis on in-place cash flows.
Specific exit strategies are crafted for each Asset considered for acquisition. The exit stratgies included acquisition type (add value, reposition, income, etc.), intended use, holding period, anticipated 1, 2, 3 year proformas and anticipated liquidation projections.
IGNITING the Return On Investment.
Our approach begins by identifying assets that have the potential for dramatic increases in rental rates or occupancy, a dramatic decreases in operating expenses, or a blend of all these factors that will directly boost NOI, increase the asset value and thus create or “add” value.
Strategically changing the position of the property in the market place by analyzing market competition, identifying key demographics, estimating improvement costs to create detailed Return On Investment projections.