Investing in YOUR WEALTH
ALTAIR REALTY INVESTMENT FUNDS
PORTFOLIO & INVESTMENT FUNDS
Goals of Real Estate Asset Management
The objective of Portfolio and Investment Management is to maximize property value and investment returns. Reducing expenses when possible, finding the most consistent and highest sources of revenue, and mitigating liability and risk.
Many of the decisions made in real estate asset management, require risks be assumed and forecasts made. The managers who make the best decisions with financial capital tend to be rewarded with higher profits and larger portfolios.
WHY ALTAIR REALTY INVESTMENT FUNDS?
COMPOUND EQUITY, OUR WINNING FORMULA
Compounding is the ability of an asset to generate earnings, which are then reinvested or remain invested with the goal of generating their own earnings. In other words, compounding refers to generating earnings from previous earnings. The wonder of compounding equity is the process of generating earnings on an asset’s reinvested earnings. To work, it requires three things: the original investment remain invested, the reinvestment of earnings and time. The more time you give your investments, the more you may be able to accelerate the income potential of your original investment.
We handle a risk tolerance rate, basically, we don't put all eggs in one basket, by spreading and atomizing the risk we select our investments from a low risk to medium risk tolerance, over the years, we have focused on advanced and strategic analysis of real estate industry to determine appropriate investments.
Real estate asset management concerns itself with mitigating risks and promoting valuable improvements. It also navigates the complex legal rules governing real estate investment in the United States.
Fearless but Educated Investments
Real estate portfolios and management
Diversification is important in real estate investments just like with traditional capital market investments. Large investors build portfolios of different types of properties and in different real estate markets.
Portfolio management involves asset allocation and selection, our objective is to maximize property value and investment returns and mitigating liability and risk, among other things.
We are always checking the market for new opportunities, we are prepared to be there fast by reading the tendencies of the real estate market, also, we are always aware of the risks and pitfalls and how to avoid them.
We are versatile, prepared and accustomed to work a variety of clients, at this time, we can work with small & medium investors, either accredited, non-accredited or foreign, we currently represent a diversified group of investors from Venezuela, Colombia, USA, Argentina, Brazil, Uruguay, Italy, Dominican Republic, Chile, Peru, Puerto Rico, Panama, Ecuador, Spain, Israel, and other countries to advise them on market conditions, foreclosure and tax deed auctions purchases and specific advisory assignments.
Investors from Over
Our focus is on our investors, we are always seeking for the best opportunities according with our investors’ profiles, we will open different funds, with a variety of goals and strategies, sometimes on a short term or a medium as long as a interesting profit or rentability is generated, we are costs efficient, since we have access to a variety of distress properties considerably under market value our returns are higher, depending on the risk involved.
For any inquiries, please call Andres A. bERMUDEZ AT 786-315-6403 or email us:email@example.com
8400 NW 33rd Street, Suite 104, Doral, Florida, 33122.
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