KAVI Capital


Structured and Disciplined Investment Process

Our investment strategy is to take advantage of key markets with strong fundamentals and moderate cap rates to maximize returns for our investors


  • Downturn resiliency - Investment strategy based primarily on acquiring, developing and/or reposition recession-resilient single family & multifamily properties with strong fundamentals
  • Deep-rooted relationships - Investment sourcing and structuring through best-in-class service providers with “boots on the ground” and strong relationships in each target market
  • Proprietary sourcing relationships and analysis - Preferred access to data and analytics from industry leaders. Current pipeline includes both broker and off-market deals in selected markets with compelling investment opportunities


KAVI Capital maintains a structured and disciplined investment process to mitigate risk and maximize returns to our investors, focusing on the following asset classes:

  • Single Family Homes  - development and repositioning
  • Multifamily - acquisition, repositioning and development