

Our longstanding success is attributed to the following main factors:
Our Fund Management
We conduct ourselves with the highest level of integrity, morals, and ethical standards and seek to continually examine and improve ourselves in order to be the best we can be. We will implement those characteristics in the fund strategies. Those strategies will span the risk/return spectrum, from core to opportunistic, and include diversified portfolio of Investments that are structured by property type and region. We create investment options to meet our clients’ long range objectives, enabling investors to strategically diversify their portfolios at every stage of the economic cycle.
Our Management Approach
The primary mission of the fund manager is to achieve the fund’s investment objectives, particularly its target performance. The foundation of our approach is the in-depth research of our Research and Strategy Team; top-down research is used to develop portfolio strategy and identify target markets; bottom-up research integrates local market analyses into each investment decision.
Cycle-Tested Real Estate Expertise
In the 20 plus year evolution of Insignia and its affiliates from a regional developer to a fully integrated real estate firm and discretionary fund manager, the Insignia organization has developed a strong foundation of extensive, seasoned operating experience that that includes but is not limited to real estate activity from acquisition, development, leasing, repositioning, management and finance to disposition. It is this multi-disciplined expertise developed over numerous economic cycles that has enabled Insignia to consistently generate above-market returns for investors.
