top of page
image0.png

How We Invest

We follow a structured, repeatable, and disciplined investment framework:

  1. Sourcing & Screening

    • Market research

    • Data-driven screening

    • Underwriting models

  2. Due Diligence

    • On-site assessment

    • Legal + financial checks

    • Risk scoring models

  3. Investment Committee Approval

    • Multi-founder voting system

    • Stress-test scenarios

    • Governance oversight

  4. SPV or Fund Deployment

    • Capital allocated per strategy

    • Leverage strategy where appropriate

  5. Active Management

    • Monthly NOI tracking

    • Loan servicing performance

    • Portfolio rebalancing (MAGP)

  6. Exit & Return Distribution

    • Refinance

    • Asset sale

    • NAV-based redemption windows

bottom of page