What We Do

Real Estate, Across the Capital Stack.

We invest across property types and structures — from direct acquisitions to value-add repositioning — always with a long-term ownership mindset.

Taris operates across four core capabilities. Each reflects a distinct way we deploy capital in real estate — but all share the same foundation: rigorous analysis, patient ownership, and active management.

01Acquisitions

We buy assets we intend to keep.

Our acquisition process is deliberate and selective. We focus on markets with durable demand drivers, assets with defensible cash flows, and situations where our underwriting gives us genuine conviction. We are not volume buyers.

Asset typesCommercial, residential, mixed-use
MarketsPrimary and select secondary U.S. markets
Hold periodTypically 7–15 years
02Asset Management

Ownership is an active responsibility.

We manage our properties directly. That means close oversight of operations, proactive capital planning, and sustained attention to tenant relationships. We believe the quality of management is as important as the quality of the asset.

ApproachDirect, in-house management
FocusNOI growth, occupancy, capital efficiency
ReportingQuarterly investor updates
03Development & Repositioning

Unlocking value in transitional assets.

Some of our best opportunities come from properties that have been undermanaged, mispositioned, or overlooked. We bring capital, operational expertise, and a clear thesis to reposition these assets for long-term performance.

StrategyValue-add and light development
TargetUrban and suburban transitional assets
Timeline18–48 month repositioning horizon
04Advisory

Strategic counsel for complex decisions.

For institutional investors and family offices navigating significant real estate capital decisions, we offer advisory services grounded in the same analytical rigor we apply to our own portfolio. Engagements are selective and handled with full discretion.

ClientsInstitutions, family offices, qualified investors
ScopePortfolio strategy, acquisition review, capital structuring
EngagementsBy referral

Our Approach

The same principles, applied to every deal.

Market selection first

We start with where, not what. Durable demand, supply constraints, and long-term economic fundamentals guide every market we enter.

Conservative underwriting

We stress-test every assumption. Our models are built to hold through cycles, not just to justify a purchase price.

Aligned incentives

Taris co-invests in every strategy. Our capital is in the same assets as our investors'.