Highmore Properties pursues a multi-sector, multi-strategy, and multi-operator approach that seeks to produce income, preserve capital, and foster long-term capital appreciation. Where possible, we seek real estate investments which are diversified by operator, strategy, property type, sector, and geography. Utilizing core, core-plus, value-add, and/or opportunistic strategies, Highmore aims to deliver attractive, tax-efficient, risk-adjusted returns through debt and equity investments, sourced from Highmore’s proprietary network of direct opportunities.
Our philosophy is based on two fundamental goals: to maximize predictability and consistency of investment returns, and to minimize risk through strict attention to portfolio design and project execution. Highmore actively works with national operating sponsors that have institutional experience, proven pedigrees, compelling long-term performance, and alignment with investor interests.
Highmore accesses actionable middle-market opportunities employing a conservative and systematic approach to underwriting and due diligence. We conduct market-level, quantitative, and qualitative research prior to investing capital into a specific market or transaction, and focus on subject markets we believe are poised for outsized growth.