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Investment strategies

How we do it?

At 3N Strategies we maximize the return on managed capital through our experience and focus on:

Location

We analyze each market by its key demographics like employment and population growth, income level and major employer presence.

Management

Capital structure for each real estate asset.

Lease Agreements

Extensive due diligence to our tenants.

Assets

Acquisition of opportunities with a value proposition that provide a well-adjusted risk-return to our investors.

Eligibility criteria

3N Strategies has the following eligibility criteria that allows selecting the best investments aligned to the profitability objectives for its investment portfolio:

Project Location

United States of America.

Target Spread

>=175 bps (basis points) spread between acquisition cap rate and debt.

Investment Scheme

Acquisition of pre-existing single tenant net-lease assets.

Co-Investment

Substancial co-investment by the Manager.

Asset Acquisiton Value Range

$1.0 M to $5.0 M

Lease Agreement

Medium to long term leasing contracts with solid or highly rated counterparties.

ESG Criteria

Compliance with Environmental, Social and Governance (ESG) criteria.

Technological platform

We integrate information technologies that add value to the investment analysis and monitoring processes, using technological tools to reduce management costs and be more reliable in our results:

We work with a specialized software for budget control of our real estate investment projects.

We use cutting edge technology to evaluate investments and portfolios of real estate assets.

We have platforms to manage the relationship with our investors and the timely submission of reports.

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