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Portfolio Quality Investment Size Diversified Portfolio
   

Wafra's primary strategy is to create value appreciation in the real estate we own. At Wafra, as important as it is for us to buy well, we must be sure the properties in our portfolio are operated well, and then sold at peak opportunities.

Our strategy targets acquisitions with potential for enhanced value, like undervalued assets or those with inherent risks. Through aggressive repositioning of these assets, using sophisticated capital structuring strategies, and leveraging our significant banking relationships, Wafra seeks to achieve strong investment returns.

By concentrating on a specific operating strategy, we remain focused on a defined, timely exit strategy. This ensures that alignment with our joint venture partners' objectives remains in synch from the outset.

Without losing track of value-added risks, Wafra's acquisition team has the goal of finding investments that seem likely to produce opportunistic returns. Our detailed structure and organized execution process contribute to our objective of achieving the best possible returns on each investment.

Because of our close relationships with major financial institutions and lenders, we are able to structure financing at competitive market rates and terms.