KAVI Capital

about

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

INVESTMENT OPPORTUNITY

  • 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

INVESTMENT STRATEGY

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