We are focused on driving net operating income – the bedrock of property performance – through diligent purchasing, active asset management and maximising performance through structuring.
CIM engages in a rigorous process to ensure each asset is consistent with the appropriate investment strategy that meets our clients’ needs and provides the highest probability of meeting their investment objectives.
While evaluating acquisitions, CIM’s focus is privately on identifying properties with stable sources of distributable income coupled with innovative deal structuring to minimize risk and maximize returns.
We further focus on identifying asset enhancement potential and executing strategies to realize their full potential, utilizing capital structures that can withstand volatile market conditions to enhance returns and
preserve capital, mitigating risk through geographic and asset diversification and meticulous underwriting by judiciously employing analytics, reasonable assumptions, and defensible growth projections to determine property valuations.
Rigorous risk management and corporate governance oversight to protect investors’ interest is never compromised while executing new acquisitions.
Comprehensive Due Diligence
CIM’s investment team sources, underwrites, screens, negotiates, and closes all investments consistent with our client’s investment guidelines. With a local presence and a deep understanding of each market, our experienced investment professionals source opportunities nationwide through an extensive network of principals, partners, brokers, developers, lenders, industry contacts, and local market experts. This network of sources has been developed and refined over more than 50 years of combined active market participation at all stages of the investment cycle.
Detailed Disposition Process
CIM’s approach to fund management focuses first and foremost on the clients and integrates the rich experience and full resources of the firm to maximize investment results.