



Our Role as Asset Manager
Clarus Property Ventures offers start-to-finish investment vehicles for institutions and high-net-worth individuals who want diversification via real property assets. Whether working with single properties or entire portfolios, we perform all research, acquisition and disposition duties for our clients.
We continually monitor and evaluate economic, investment and social data in order to identify the markets and strategies that will best grow our clients' wealth. From cap rates to unemployment figures, from population growth to workforce education, we track diverse information in order to understand the trends and tendencies of real estate markets.
After Clarus identifies high-potential markets, we leverage the strength of our real estate relationships to discover properties and projects that will appreciate, produce cash flow and offer value-added opportunities. Before and during acquisition, Clarus establishes all entities and partnerships, arranges all financing and performs extensive and rigorous due diligence.
Because Clarus forecasts multiple exit strategies for each of its properties, we are able to negotiate placements and sales that maximize investor returns under any contingency. We also facilitate 1031 exchanges for our clients who wish to defer taxes and reap the rewards of exponential growth.
Clarus believes in complete accountability and transparency, so we provide quarterly updates and annual reports for each of the properties in our portfolio. We even go so far as to open each property's accounting books for detail-oriented investors.
We are currently exploring projects in multifamily and retail asset classes, both domestically and internationally. For more information about our products, our model and the ways we can grow your wealth, please contact us.