Exeter provides clients the opportunity to invest in diversified, balanced portfolios of industrial real estate within a targeted risk/return style. Whether pursuing value-add or core investment attributes, we use our astute capital market experience and our multiple regional offices to source the best in local and national opportunities. We then use our broad real estate operator skills to maximize value at the property level through our national tenant relationships, keen local market knowledge and focused, hands on management.
Since 2006 we have been entrusted to manage over $5 billion in equity on behalf of institutional clients across the globe including public, union and corporate pension funds, sovereign wealth funds, foundations, university endowments, insurers, private wealth/family investment offices, and fund-of-funds.
Treating our investors as true partners, Exeter provides open and regular communication, reflecting our belief in transparency in attitude and action and our history in private and public company accountability. Exeter is structured cleanly to provide management focus and alignment of interest, including no debt or outside shareholders.
Making single-promote, direct investments, Exeter creates property portfolios offering a balance of investment risk and return for large and small investors.
For organizations of scale and with more modest risk-reward investment profiles, Exeter can institute a customized core investment account.
Participate in property transactions alongside an Exeter investment fund.