Clear Capital plans to forge ahead using it’s time – tested model that has generated superior returns for investors by continuing to expand into high growth markets characterized by compelling, long term economic fundamentals and strong, risk-adjusted returns.
Clear Capital is continually monitoring market trends, completing and updating research, and searching for higher alpha investment opportunities for our investors in emerging markets with lower beta.
Our team uses their expertise to acquire underperforming multifamily assets with strong value-add potential through conservative underwriting and extensive due diligence of real estate assets.
With a deep network of brokers, developers, and other real estate professionals, Clear Capital is provided with proprietary deal flow and frequent first look at off market or thinly marketed properties.
Clear Capital partners with institutional grade property management companies to utilize their local market knowledge and experience to develop asset reposition plans and management strategies.
Asset management works closely with its property management partners to execute on high quality, high amenity property renovations that are tailored to each property. Asset management also works closely with its property management partners to consistently monitor and enhance the resident experience.
Clear Capital systematically ranks its portfolio of properties across a spectrum of performance metrics in order to determine which investments will deliver superior long term returns. Those properties with limited future upside or business plans that have been completed are trimmed from the portfolio to make room for new stronger opportunities.
Investors can look forward to receiving quarterly distributions from their investments, alongside long-term capital appreciation from their portfolio.
Clear Capital seeks investment opportunities that meet or exceed the following criteria:
Denver West and the Sunshine States
Cash on Cash
1970 to 1990
Location / Property Grade
C- to B+
Internal Rate of Return
12% - 15% +
$15,000,000 to $50,000,000+
3 to 5 Years