
BATTERY
REAL ESTATE
A real estate investment management firm founded by a team with over 80 years of diversified industry experience.
WHAT
WE DO
Battery primarily invests in commercial real estate assets leveraging strong industry relationships and partnerships to source and acquire well-positioned investment opportunities. We focus on secondary and tertiary markets, utilizing a conservative underwriting approach to maximize investor yield. Battery targets assets ranging from opportunistic to longer term holds with growth attributes, including moderate value-add and repositioning.
Battery's investment strategy seeks to unlock value in properties that we believe to be underperforming or undervalued. Applying our extensive financial and operational expertise, our team focuses on effective asset management and value creation due to lack of oversight or mismanagement. Battery rigorously underwrites each asset to find properties that achieve an ideal balance of superior risk adjusted returns and preservation of capital.
The Battery team targets assets in the Southeast and Mid-Atlantic regions. We study and select markets with strong local economies, increasing population and wage growth, limited supply, and a pro-business climate. Our disciplined investment approach seeks to capitalize on unique investment opportunities in markets often overlooked by more institutional real estate investors.

OUR
VISION
We've built our company on the values of integrity and loyalty with the goal of exceeding anticipated returns for our firm, partners, and clients. Battery Real Estate Partners invests with a disciplined approach in various real estate asset classes across the risk spectrum. Using our complimentary experience in property operations, asset management, law, and institutional real estate, we seek to acquire underperforming or undervalued assets to capitalize on management inefficiencies and product classes overlooked by traditional institutional investors. We focus on value creation through repositioning, providing strong cash flows with downside protection while delivering superior returns.

