Investment Philosophy

At BSG, our investment strategy is a dynamic blend of acquiring new, stabilized assets (80%) and taking advantage of opportunistic special situations (20%). In an ever-evolving real estate landscape, we believe this balance allows us to maximize returns while prioritizing stability.

The vast majority of our deals fall between $2-10 million in total proceeds. This range is generally too high for entry-level investors, and too low for institutional groups

Most of our focus (80%) lies on acquiring and enhancing stabilized cash-flowing deals. In these instances, our emphasis is on meticulous management in premiere locations within a respective submarket. We strive to optimize the performance of these assets by implementing targeted enhancements and maintaining a high-quality asset.

The remaining 20% of our portfolio is dedicated to opportunistic deals, where we identify and seize unique, high-potential, off-market opportunities. These ventures allow us to capitalize on favorable market conditions, unlocking value through extensive renovations along with operational improvements.

By striking this balance between steady, income-generating assets and opportunistic ventures, we navigate the real estate terrain with a long-term outlook and a clear vision for sustained profitability.