AGM Investment Strategies

Targeted Real Estate Strategies. Disciplined Execution.

AGM targets opportunities by adapting to market dynamics while maintaining disciplined execution. From stabilized income assets to high-growth development, our strategy is built to unlock value and deliver strong, risk-adjusted returns.


Core

Return

Return

Risk

Risk

Core

Core

Opportunistic

Opportunistic

Value-Add

Value-Add


Core real estate focuses on stable, income-producing assets in prime markets, targeting 6–10% annual returns with low risk, long-term holds.

  • Hold period: 5-10

  • Low leverage, strong tenant credit

  • Income stability over appreciation

Value-Add

Return

Risk

Value-Add

Opportunistic

Core


Targets underperforming assets with upside through renovations and leasing improvements. Moderate risk, 10-14% annual returns.

  • Hold period: 5-10 | Minimum: 2-4

  • Renovations, lease-ups, efficiency

  • Balanced income distribution and and asset appreciation

Opportunistic

Return

Risk

Opportunistic

Value-Add

Core


A higher risk, higher-return strategy, involving development, repositioning, or distressed assets. Shorter hold, 14–18% returns, aggressive execution.


  • Hold Period: 5-10 | Minimum: 4-6

  • Asset repositioning required

  • Increased value through reposition and appreciation