We are responsible for the sale of Boston Capital’s investors’ interests in LIHTC assets and the orderly liquidation of its portfolio. Typically, property dispositions occur after the expiration of the 15-year LIHTC compliance period. However, dispositions may occur at any time after the expiration of the 10-year credit period if the sale is in the best financial interests of Boston Capital’s investors.
Dispositions are often guided by the relationship between the local general partner and the management company. This relationship directly affects the disposition model employed, and the manner of disposition is a function of the asset and property type. We work closely with BC Asset Management to recognize opportunities for capital distributions and to develop relationships to the investors’ advantage. Following this proactive approach, sales in excess of 100 properties/limited partnership interests are expected to close in each of the next three years.
Investment funds liquidated
We have solicited and received consent from investors to liquidate more than 100 investment funds.