A multifamily value-add fund focused on Class B/B- assets, with selective Class C investments supported by conservative entry basis, in select U.S. markets.
Target Net IRR¹
Target Stabilized Cash-on-Cash²
Investment Strategy
Target Assets
Target Markets
Fund Term
Minimum Investment
11% – 15%
6% – 8%
Core Plus / Value-Add Multifamily
Class B/B- with selective Class C
Texas • Florida • Ohio
7 years
$25,000
Private Closed-End Multifamily Real Estate Investment Fund
Finquity Capital is a multifamily investment
platform focused on carefully selected
investment opportunities through syndications,
private investment vehicles, and strategic
partnerships.
Our sponsor brings more than two decades
of experience in construction, renovation, and
asset improvement projects across commercial,
industrial, and multifamily properties. That
experience provides practical insight into
budgeting, capital planning, project execution,
and long-term asset performance.
Our investment approach is informed by
disciplined underwriting, thoughtful capital
allocation, and active oversight throughout the
investment lifecycle. We focus on opportunities
where operational improvements and
renovation initiatives can support durable
cash flow, long-term value creation, and the
preservation of investor capital.
Access offering documents, onboarding, funding, and ongoing reporting in one platform
Major employment centers across the Bay Area and Greater Sacramento region continue to support long-term housing demand. Limited housing supply and barriers to new development have contributed to strong multifamily fundamentals across many Northern California markets.
One of the largest renter populations in the United States, supported by high home prices and barriers to homeownership. Diverse economic drivers across healthcare, technology, entertainment, logistics, and international trade support long-term rental demand.
Identification of multifamily investment opportunities through market research, data-driven analysis, and established industry relationships.
Rigorous evaluation of each opportunity, including asset fundamentals, execution feasibility, risk factors, and return potential.
Execution of acquisitions, financing coordination, and transaction structuring to support long-term operational and portfolio objectives.
Direct oversight of renovation and repositioning initiatives designed to enhance asset performance, income durability, and long-term value.
Active monitoring of property operations, operating partners, and performance metrics to support operational efficiency and risk control.
Transparent reporting, distribution management, tax documentation, and oversight of refinancing or disposition decisions through a secure investor platform.