1031 Exchange Services
Comprehensive property identification and exchange coordination services for Washington DC investors seeking compliant 1031 exchanges.
Property Identification
Nationwide sourcing of qualified replacement properties for 1031 exchanges
45 Day Identification
Timeline management and identification letter preparation to meet strict deadlines
180 Day Closing
Coordination of closing timelines and documentation to complete acquisition
Three Property Rule
Identification strategy allowing up to three replacement properties regardless of value
200 Percent Rule
Identification path allowing unlimited properties when combined value does not exceed 200 percent
95 Percent Exception
Identification exception allowing acquisition of identified properties totaling at least 95 percent
Reverse Exchanges
Exchange accommodation titleholder structures allowing acquisition before relinquished sale closes
Improvement Exchanges
Build to suit and improvement exchange structures combining acquisition with development
Qualified Intermediary Coordination
Secure custodial oversight and wiring discipline preserving every exchange milestone
Single Tenant NNN Retail
Credit tenant net lease properties with transparent rent rolls and predictable income
Multifamily Properties
Apartment buildings and residential complexes qualifying as like kind replacement properties
Industrial Properties
Warehouses, distribution centers, and logistics nodes with long term lease coverage
Medical Office Buildings
Healthcare facilities with credit tenants and long term leases providing stable income
Self Storage Facilities
Storage properties with high occupancy rates and minimal management requirements
DST Investments
Delaware Statutory Trust placements providing fractional ownership in institutional grade properties
IRS Form 8824 Support
Documentation and reporting assistance ensuring accurate Form 8824 filing
Tax Advisor Coordination
Partnership with your CPA or tax advisor aligning exchange strategy with tax planning
Legal Review
Institutional documentation review ensuring compliant exchange structures
Rent Roll Analysis
Due diligence review of tenant leases and income verification for property evaluation
T12 Financial Review
Trailing twelve month financial analysis assessing property performance and income stability
Market Comp Analysis
Comparative market analysis verifying replacement property pricing and fair market value
Lender Preflight
Coordination with lenders ensuring financing aligns with exchange timelines
Ground Leases
Long dated land interests with corporate guarantees aligning with 1031 timelines
Sale Leasebacks
Operators monetize real estate tax efficiently while investors acquire net lease stability
Need one-to-one exchange guidance?
We connect localized insight with national sourcing so your 1031 exchange stays on track.
Contact the Team