top of page

How We Invest
We follow a structured, repeatable, and disciplined investment framework:
-
Sourcing & Screening
-
Market research
-
Data-driven screening
-
Underwriting models
-
-
Due Diligence
-
On-site assessment
-
Legal + financial checks
-
Risk scoring models
-
-
Investment Committee Approval
-
Multi-founder voting system
-
Stress-test scenarios
-
Governance oversight
-
-
SPV or Fund Deployment
-
Capital allocated per strategy
-
Leverage strategy where appropriate
-
-
Active Management
-
Monthly NOI tracking
-
Loan servicing performance
-
Portfolio rebalancing (MAGP)
-
-
Exit & Return Distribution
-
Refinance
-
Asset sale
-
NAV-based redemption windows
-
bottom of page