We advise on, structure, and execute a wide range of capital transactions for clients
including investment property and loan sales, equity and debt placements, sale-leasebacks,
build to suit and construction financing, structured financing and recapitalization, real
estate investment trusts, limited partnerships, unit trusts and joint ventures.
Through our worldwide resources, nearly 300 specialists offer unsurpassed access to the
global capital markets. Combined with unmatched knowledge of local property fundamentals, their
expertise provides maximum benefit for our clients--whether they are the ultimate supplier or
consumer of capital.
Our custom-tailored solutions are designed to help clients achieve utmost value, mitigate
tax burdens, optimize cash flow and accounting treatment, and secure the optimal capital
structures that meet client needs.
Our Investment Sales division is the preeminent provider of real estate capital solutions for
owners, investors, and users of property. With unsurpassed reach in the global capital markets,
intimate knowledge of real estate fundamentals, and complete access to Cushman & Wakefield
LePage's brokerage capabilities and services, our Investment Sales division provides optimal
client solutions by crafting innovative ways to bring together real estate and the capital
In North America, the Investment Sales division includes specialists in the Multifamily,
Retail, Industrial, and Hotel & Hospitality sectors. These specialists are uniquely
positioned to bring invaluable, real-time market knowledge and insight to clients. The division
assists clients nationally with both large portfolio disposition and single-asset sales,
through a highly coordinated marketing process, standardization, and broad-based market
coverage from experienced, responsive, and innovative professionals.
Investment Banking/Corporate Finance
The Investment Banking/Corporate Finance group assists clients in designing and executing
innovative transactional techniques to finance and control their real estate. These techniques
are designed to achieve specific cash flow and financial statement objectives, promote
efficient use of capital and credit resources, and mitigate tax burdens.