Skip to main content
Our investment opportunities are built on trusted relationships with experienced sponsors, operators, and leading lenders. We deploy capital with discipline, actively manage assets, and remain committed to our proven investment strategy through changing market conditions.
Opportunistic Multifamily
We take a disciplined approach to acquiring multi-family properties in select, high-growth U.S. markets. We seek attractive risk adjusted returns, supported by conservative leverage.

We are fundamentally opportunistic investors. We target situations where pricing dislocations, operational complexity or capital structure constraints create asymmetric entry points unavailable through conventional channels. We look for:
Market imbalances and distressed situations
We seek opportunities in which current owners are unable to continue holding their assets (e.g., refinancing constraints, fund maturities, capital stack distress, etc.)
Targeted business plans with defined exit paths
Investments where alpha can be generated and harvested by executing a focused value-add business plan and achieving operational efficiencies before exiting.
Debt / Preferred Equity
We provide financing to experienced developers and operators, typically ahead of construction loans and permanent first mortgages. We offer mezzanine positions and preferred equity exploiting borrowers’ needs to complete their capital stack. We target:
Situations where we can achieve outsized returns relative to our position in the capital stack.
Markets where we are already active, which gives us a grounded view of collateral value and the ability to step in and manage an asset directly if required.
Attachment points with low underlying property bases, providing clear exit paths.
Working with well-capitalized borrowers who have established track records and reputations.