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STRATEGY

All our investments are vetted through a well-defined, rigorous underwriting process and rely on our extensive relationships and deep expertise during each stage of investigation. We create value for our investment partners through strategic efforts to acquire, develop, reposition, and operate real estate
 

Our investment strategy is to focus on middle-market transactions with asset values ranging between $15 million and $100 million in targeted U.S. submarkets. We invest at prices below replacement cost, and at attractive going-in yields, to generate excess returns at lower risk. This is based upon our real estate experience through various economic cycles.

Market inefficiencies create property sector opportunity for Ravinia. We focus on industry sectors (such as industrial, residential,  office and retail) in which Ravinia's professionals have successfully completed transactions and where we have developed operational expertise. Ravinia’s real estate investment goal is to generate a competitive marketing advantage for each asset acquired in order to maximize its profitability during the holding period.

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