Our Philosophy

Cicero’s objective is to preserve capital while maximizing returns through a process of fundamental, bottom-up analysis and a disciplined capital allocation strategy.

Cicero analyzes opportunities across all investment vehicles and property types, making investments in public and private real estate debt and equity securities, as well as direct investments in commercial real estate. This asset class specialized approach allows Cicero to uncover value throughout an investment’s capital structure in order to generate superior risk-adjusted returns.

Our deep-rooted fixed income analysis and portfolio management expertise, coupled with strong institutional relationships, provide unique insights into fixed income securities and the industry as a whole.

Cicero leverages the unique combination of public and private fixed income investing experience of its Partners to uncover value through intensive, fundamental analysis.

While our investment philosophy is consistent, our execution is nimble — to take advantage of opportunities as they present themselves.