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Guggenheim
Guggenheim Real Estate
About us
Strategy
Our advantages
» Overview
» Active Management
» Risk Management
» Manager Selection
Research

Strategy Advantages

Overview

We seek value on behalf of investors in a number of ways. Our mission is to:

  • facilitate a diversified real estate investment;

  • fully use current available information in the marketplace;

  • apply better accounting and analysis to this information;

  • strategically diversify portfolio exposure;

  • track exposure levels vis-á-vis strict risk management guidelines; and

  • tap into the best execution within each market segment.

In addition, investors benefit from the economies of scale offered by Guggenheim Real Estate:

  • Research is expensive and time-consuming, especially when it involves not only equity real estate market segments, but manager performance and regional factors as well.

  • Monitoring a universe of 300+ specialized investment managers and operating partners requires the expertise of multiple full time, experienced professionals.

  • Refining a strategy that relies on extensive bottom-up input is time consuming and often technically demanding.

  • Maintaining a successful active management strategy requires a constantly focused mindset as well as access to up-to-the-minute market information.

As a result, we believe we offer a compelling investment alternative for real estate investors seeking higher returns without heightened risk. Additionally, we believe the relative net returns will be higher given the savings in staff, time, and expertise.