Stoltz’s vast experience investing and managing assets across multiple sectors and geographies provides us with a unique purview of the real estate market, allowing us to identify nascent trends and apply a unique lens when evaluating different investment opportunities. While Stoltz remains nimble and able to adapt to emerging trends, our core philosophy has always remained consistent – work to ensure the preservation of capital while seeking the best risk-adjusted returns. We strive to identify core-plus/value-add properties that are mispriced by the market and offer the opportunity to generate value-add / opportunistic returns through value enhancement and capable management.