Investment Philosophy

Beckham Gumbin Ventures analyzes multiple property types and layers of the capital structure to assure that we are focusing on the best available opportunities in terms of profit and risk. BGV targets capital voids, ownership and operating inefficiencies, and other specific situations.

BGV utilizes three primary investment strategies:

  1. Reposition Underperforming Properties
  2. Distressed Debt Acquisitions
  3. Special Situations (Includes Tenant Driven Opportunities)

Regardless of the specific strategy employed, BGV’s underwriting and asset management strategies emphasize user demand. Through our selective acquisitions, creative use of capital, and hands-on management, we are able to position assets to better meet user demand. This allows BGV to create stabilized cash flowing assets with attractive yields.

BGV maintains investment sizing flexibility by investing directly in small to mid-sized assets, and co-investing alongside other real estate funds in larger opportunities.