1031 Exchange Aspen in Aspen
1031 Exchange Aspen in Aspen1031 Exchange Aspen in Aspen1031 Exchange Aspen in Aspen1031 Exchange Aspen in Aspen

Exchange Services

Explore exchange services for Aspen investors, organized around clear decisions, documented deadlines, and a practical path to closing.

Plan with clarity

Exchange Services

Replacement Property Identification

Replacement Property Identification

Drafting and delivering a compliant written identification notice inside the 45-day window for Aspen 1031 exchangers, with dates and.

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45-Day Identification Strategy

45-Day Identification Strategy

Pre-scouted, calendar-day identification planning for Aspen 1031 exchanges, built around a market where replacement inventory rarely waits for.

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180-Day Closing Coordination

180-Day Closing Coordination

Reverse-scheduled closing coordination for the 180-day exchange window on Aspen condo-hotel, downtown retail, and lodging replacement property.

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Three Property Rule Strategy

Three Property Rule Strategy

Slot-allocation strategy under the three-property identification rule for Aspen 1031 exchangers naming exactly three replacement candidates by.

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200% Rule Identification Strategy

200% Rule Identification Strategy

Aggregate-value identification math under the 200% rule for investors trading a single Aspen asset into multiple replacement properties within.

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95% Rule Identification Strategy

95% Rule Identification Strategy

Risk-modeled use of the 95% acquisition rule for Aspen exchanges that need an identification list wider than the 200% value ceiling allows.

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Forward Exchange Coordination

Forward Exchange Coordination

Sequencing support for standard forward exchanges on Aspen property sales, from qualified intermediary assignment through the 180-day.

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Reverse Exchange Coordination

Reverse Exchange Coordination

Buy-first exchange structuring for Aspen 1031 investors who find scarce replacement property before their relinquished lodging or retail asset.

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Improvement Exchange Planning

Improvement Exchange Planning

Construction-draw scheduling for build-to-suit exchanges in Aspen, weighing Pitkin County permitting and historic review against the fixed.

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Qualified Intermediary Coordination

Qualified Intermediary Coordination

Dated setup and funds-flow coordination with the qualified intermediary for Aspen 1031 exchangers closing high-value lodging, retail, or condo.

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DST Placement Coordination

DST Placement Coordination

Delaware Statutory Trust placement coordination for Aspen sellers exiting active condo-hotel or retail management into passive, fast-closing.

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NNN and STNL Property Sourcing

NNN and STNL Property Sourcing

Cap-rate and lease-term sourcing of net lease and single-tenant replacement property for Aspen 1031 exchangers moving out of management-heavy.

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Multifamily Replacement Sourcing

Multifamily Replacement Sourcing

Unit-economics sourcing of multifamily replacement property for Aspen 1031 exchangers trading a single resort asset for diversified apartment.

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Industrial Property Identification

Industrial Property Identification

Out-of-market industrial replacement sourcing for Aspen sellers moving exchange proceeds from resort real estate into warehouse and flex assets.

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Retail Replacement Sourcing

Retail Replacement Sourcing

Sales-per-square-foot and lease-economics sourcing of retail replacement property for Aspen 1031 exchangers trading tourism-driven storefronts.

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Medical Office Replacement Sourcing

Medical Office Replacement Sourcing

Line-item sourcing of medical office replacement property for Aspen 1031 exchangers trading lodging or retail income for lease-backed healthcare.

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Self Storage Replacement Sourcing

Self Storage Replacement Sourcing

Occupancy and unit-mix sourcing of self storage replacement property for Aspen 1031 exchangers, since storage supply at altitude is nearly.

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Rent Roll Analysis

Rent Roll Analysis

Line-by-line rent roll reconciliation for Aspen 1031 exchangers comparing multi-tenant replacement property before the 45-day identification.

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T12 Financial Review

T12 Financial Review

Trailing-twelve-month NOI normalization for Aspen 1031 exchangers underwriting replacement property income before committing identified exchange.

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Market Comparable Analysis

Market Comparable Analysis

Unit-by-unit comparable sales adjustment for Aspen condo-hotel and downtown retail assets, built to support exchange identification and boot.

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Lender Preflight Coordination

Lender Preflight Coordination

Pre-identification lender screening for Aspen replacement financing, confirming condo-hotel collateral acceptance and debt coverage before day.

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Boot Calculation Support

Boot Calculation Support

Line-item boot calculations for Aspen condo-hotel FF&E, debt-relief shortfalls, and cash prorations that create taxable exposure inside a 1031.

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Form 8824 Preparation Support

Form 8824 Preparation Support

Organized basis, boot, and closing-figure workpapers for Form 8824 preparation on Aspen exchanges, handed to your CPA in a ready-to-file format.

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Tax Advisor and CPA Coordination

Tax Advisor and CPA Coordination

Basis, boot, and depreciation coordination between Aspen 1031 exchangers and their CPA or tax advisor, organized around the exchange calendar.

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Exchange Documentation Assembly

Exchange Documentation Assembly

Running-binder document assembly for Aspen exchanges, covering QI agreements, assignment notices, condo-hotel HOA records, and entity paperwork.

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Ready to organize the exchange?

Bring the property, dates, and open questions. We will help turn them into a clear exchange plan.

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(970) 650-5043