Our balanced $5.1 billion portfolio is well diversified by property type, asset type, geography and obligor, with a focus on larger assets located in major metropolitan markets.

  • 32%Real Estate Finance
  • 31%Net Lease
  • 14%Operating Properties
  • 22%Land & Development
  • 1%Strategic Investments

  • 23%Land & Development
  • 22%Office / Industrial
  • 16%Mixed Use / Mixed Collateral
  • 11%Hotel
  • 10%Entertainment / Leisure
  • 8%Condominium
  • 5%Retail
  • 4%Other
  • 1%Strategic Investments

  • 30%Northeast
  • 18%West
  • 16%Southeast
  • 14%Mid Atlantic
  • 10%Southwest
  • 6%Central
  • 5%Various
  • 1%Strategic Investments

[As of 12/31/15]