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Guggenheim Real Estate
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Investment Strategy

Investment Process

Guggenheim Real Estate’s unique real estate investment process utilizes the combined efforts of some of the best minds in the business today. Members of the Guggenheim Real Estate team have developed a series of proprietary models designed to integrate the best real estate market and economic data; these models are then coupled with local market input from our local operating partners. From this base, the GRE Team analyzes the current investment climate and formulate a top-down strategy and target allocations. Strict risk controls shape strategic allocation across the following dimensions:

  • economic geography
  • property type
  • public or private markets
  • duration: lease maturity/market exposure
  • leverage across all investments

Applying rigorous due diligence, we then screen potential real estate investment managers and local operating partners. After identifying the top-tier managers, the GRE team scrutinizes the opportunities offered by these managers and tailor investments to achieve diversification and satisfy overall allocation guidelines. We then actively monitor the portfolio, making adjustments as needed to keep it at peak potential.