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Investor Criteria

Tell us what you buy.

This page is for investors, family offices, operators, and 1031 buyers who have a real acquisition box. Send the asset type, market, deal size, and timeline so we can determine fit quickly.

What we review

Acquisitions

Buy-side assignments for investors and operators pursuing multifamily, industrial, retail, land, and select office across Texas.

  • Direct acquisition mandates
  • Single-asset and portfolio review
  • Owner-user and investor buy-side representation
What we review

1031 Replacements

Replacement-property sourcing for investors with timing pressure, defined basis, and a real need to preserve equity.

  • 45-day identification pressure
  • Replacement property screening
  • Coordination with QI, legal, and tax team
What we review

Land and Development

Land, corridor, and development-site review for groups that need location logic, diligence visibility, and a believable path to exit.

  • Texas growth-corridor screening
  • Site-selection and entitlement context
  • Basis, timing, and liquidity review
Before you submit

Send the filters that matter.

Generic investor forms waste everyone's time. We need enough detail to know whether your criteria matches current sourcing lanes, replacement needs, or direct advisory work.

  • Asset type and target markets
  • Check size or acquisition range
  • Return target and hold period
  • 1031 exchange timing, if applicable
  • Whether you need on-market, off-market, or replacement options
  • What you do not want to review
Target markets

Texas focus.

We are most active where we already have market coverage, service-line depth, and direct advisory relationships.

AustinHoustonDallas-Fort WorthSan AntonioCorpus ChristiRio Grande Valley
If you have a live 1031 timeline, note the sale status, identification deadline, and required replacement size in the request.
Review process

How investor requests are handled.

We do not send broad deal blasts. Requests are reviewed manually and routed only when the criteria, timing, and advisory fit make sense.

01

Criteria review

We review your asset type, market, check size, and timeline to determine whether there is a real fit with current pipeline and sourcing lanes.

02

Follow-up

If the fit is real, we clarify basis, return profile, replacement requirements, and any underwriting constraints before sending options.

03

Routed deal flow

Qualified investors receive opportunities, case-study references, or a direct call on where we can help and where we cannot.

Investor Criteria

Asset type, market, check size, hold profile, timeline, and anything that takes a deal out immediately.

Typical response time: within one business dayNeed immediate help? (512)750-5690
Handled on a confidential basis.
Proof of work

Relevant case-study references

View all case studies
Disclaimer: Information on this website is provided for general informational purposes only and does not constitute an offer, solicitation, or recommendation to buy or sell any security or investment product. Any opportunities referenced are subject to change, availability, and applicable legal requirements.