Attractive Risk-adjusted Returns Over The Long-run

We provide dependable monthly dividends designed to grow over time, combining income stability with attractive risk-adjusted total returns. Dey Street helps accredited investors access institutional-quality real estate built on transparency, discipline, and consistency – not speculation.

A Diversified Strategy, Built for Defensive Growth

Our confidence in delivering predictable, monthly dividends is rooted in the quality and resilience of our real estate portfolio. Each property is chosen for its ability to preserve capital and deliver consistent performance through shifting market conditions.
We focus on acquiring freestanding, single-tenant commercial properties leased to creditworthy clients under long-term, net lease agreements – typically 10 years or longer. This structure minimizes exposure to variable costs like taxes, insurance, and maintenance, providing steady income and protection against inflation.
Active Asset Management
Driven by experience and proactive oversight, our Asset Management team ensures strong tenant relationships, high occupancy, and consistent rent performance. Each decision reinforces our commitment to income stability and investor trust.

INVESTOR INSIGHTS

Below are the four pillars that define our investor framework. Each is designed to strengthen portfolio durability, enhance income, and reduce exposure to unnecessary risk.
Tax-Efficient Real Estate Investing

Keep More of What You Earn

Real estate provides powerful tax advantages that most traditional investments can’t match. Through cost segregation, accelerated depreciation, and strategic lease structures, we help investors enhance after-tax returns and preserve more of their income.
Passive Income Real Estate Investing

Wealth That Works While You Don’t

Our net lease strategy delivers true passive income – monthly distributions backed by creditworthy tenants and long-term leases. The Essential Core Fund provides dependable income designed to grow over time without the day-to-day burden of management.
Risk Management and Mitigation

Returns Are Built on Risk Controls, Not Assumptions

Every investment begins with protection first. We evaluate tenant creditworthiness, lease structure, and market fundamentals to ensure that each property can weather market shifts and preserve capital. We manage risk with data, discipline, and foresight.
Data-Driven Real Estate Investing

Decisions Backed by Data, Validated in the Field

We combine advanced analytics and on-the-ground insights to identify opportunities before they become obvious. Our proprietary data models guide acquisitions, mitigate concentration risk, and help us position capital where long-term demand is strongest.