MaxCap employs different strategies to meet each Investors’ unique portfolio composition and investment objectives. With consideration to the following variables, every investment opportunity must comply with MaxCap’s investment philosophy:
Investment Method – Separate Managed Accounts, Pooled Funds and Investment Syndication on a direct deal basis;
Real Estate Strategies – Opportunistic, Value-add, Core Plus and Core;
Security – First Mortgage Senior, (Whole Loans/ uni-tranche), Second Mortgage (Junior/ Mezzanine) and Preferred Equity;
Sectors – Office, Residential, Retail, Industrial/ Logistics, Hospitality, Student Accommodation and Mixed Use.