Brian Christopher Mitchell
NorthStar Equities founded by Brian Christopher Mitchell , Inc specializes in various types of real estate investments, including distressed, opportunistic, value-add, and core plus opportunities. We invest across the capital stack, encompassing equity, performing and non-performing debt, and subordinated debt, across all major property types. Our portfolio includes fee title and debt investments in multi-family, office, flex, industrial, and retail properties throughout the United States.
At NorthStar, we collaborate with a diverse range of investors, such as private high net worth individuals, family offices, money management firms, private equity funds, and institutional investment companies. We prioritize building long-term relationships while delivering exceptional risk-adjusted returns. With a track record of success, we excel at identifying lucrative investment strategies and adding value through diligent management. Our commitment to accuracy and transparency ensures accurate reporting to our investors.
NorthStar stands out through our comprehensive underwriting analysis, targeted strategies, innovative capital structures, longstanding industry relationships, and hands-on management approach. By investing with us, our partners gain access to unique investment opportunities and the potential for outstanding returns, all without the day-to-day involvement that comes with direct investment.
Our Services & Investment Strategy
NorthStar Equities (NSE) focuses its investment strategy on distressed, opportunistic, and value-add real estate opportunities, with a particular emphasis on properties that can be repositioned through renovations, improved management, or opportunistic acquisitions to achieve higher market values. With extensive experience in the real estate market, NSE portfolio consists of multi-family, office, industrial, retail, and residential properties, as well as performing, subordinated, and non-performing debt investments across the United States.
The company’s approach is to strategically target specific products and capital positions at different stages of the market cycle, seeking to acquire assets below stabilized values and replacement costs. These investments are then repositioned or aggressively managed to enhance their value as markets normalize.
At NSE, comprehensive analysis, rigorous underwriting, and thorough market research form the foundation of all investment and strategic decisions. The company’s ability to identify value in assets, markets, and capital structures sets it apart and enables the discovery of unique investment opportunities. Furthermore, NSE’s track record and expertise in capital markets have fostered strong financial relationships, allowing for faster and more assertive transaction completion compared to its competitors.