U.S. multifamily is a historically stable asset class
CP Capital’s investment philosophy is based on creating value for its clients by building well-diversified U.S. multifamily portfolios – a strategy the firm has employed since 1989. We adapt our strategies to capitalize on market cycles and favorable supply/demand fundamentals, and offer solutions for investors across the risk spectrum, through sponsored funds with fixed investment strategies or customized separate accounts. Our rigorous investment process and risk management approach have been fine-tuned over the past three decades and enhance our ability to structure and execute on investments.
Funds
Separate account advisory
Residential
Commercial
CP Capital sponsors and manages funds with targeted real estate investment strategies. The funds seek to create value through a portfolio diversified by partner and market.
CP Capital’s long-term fund investment strategy is aimed at pursuing multifamily rental investment opportunities in high growth markets with leading joint venture partners. For ground-up developments and acquisitions, CP Capital seeks areas to create significant value and diversifies investments across markets and partners for optimal fund-level risk-adjusted returns.
CP Capital leverages its deep relationships to source compelling investment opportunities. Over the past 30+ years, we have invested in more than 330 investments throughout the U.S. across various investment strategies and property sectors.