Our typical Programmatic Fund's principal investment objective is to achieve a
high risk-adjusted rate of return, computed net of asset management fees, that is superior to the leading
property benchmark indices, with a substantial component of the total return comprised of current cash flow
distributions. Cohen Asset Management, Inc. ("CAM") intends to accomplish this goal by investing primarily in
net leased industrial properties while creating a critical mass of homogeneous product located in select Target
Markets within the United States.
CAM intends to create value by targeting opportunities that provide:
(i) investment in target markets that we believe provide strong, sustainable characteristics;
(ii) investment in or development of high quality physical assets, attractive to higher credit tenants;
(iii) advantageous locations that can provide a sustainable leasing advantage;
(iv) investment in properties that will benefit significantly from active asset management expertise; and
(v) investment in properties that present pricing inefficiencies as well as the potential for current income
growth and capital preservation attributes. This strategy of creating the additional "value-added" return
component underpins CAM's focus on thorough due diligence, disciplined underwriting, active asset management,
risk management, research, and strategy formulation and implementation.
Cohen Asset Management, Inc. currently has controlling interests in several million square
feet of net leased industrial and office properties nationwide.