Evton Captial Partners

EVTON REAL ESTATE FUND LP

Investment Strategy

The investment strategy of the Evton Real Estate Fund LP is to create a diversified commercial real estate portfolio that delivers reliable, tax-efficient cash flow and capital growth.

The Fund invests primarily in B-class commercial properties valued between $10 million and $50 million, located in key markets in Southern Ontario and the GTA.

The Fund makes strategic purchases and then revitalizes buildings and repositions tenancy, making the properties more attractive to potential investors and tenants. This strategy is executed by a disciplined process of deal sourcing, value enhancement and financing, as well as asset and property management.


Evton Real Estate Fund LP 7-Year Net Return Performance

Investment Strategy Chart

* March 1, 2005 to March 1, 2012; based on third-party appraised value as at March 1, 2012. Past performance is not a guarantee of future returns.
* Data provided by Standard & Poors and Morgan Stanley Capital International.

 

 

The Fund has been a strong performer, outpacing many other investment alternatives. It’s six-year annual compound net return is 13.22%, based on third-party appraised value.
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