Grand Coast Capital’s investment strategy is to produce attractive risk-adjusted current returns to its investors by originating and/or acquiring short-term real estate loans secured by first-position mortgages on non-owner occupied one to four unit residential properties, commercial, industrial, multi-family residential, and entitled land.
➢ Capital Preservation – Grand Coast believes that capital preservation is achieved by acquiring first-position loans, secured by real estate, at the proper leverage, which is typically no more than 70% loan-to-value (LTV).
➢ Current Income – The Fund generates monthly income driven by the loan fees and interest rate charged to the borrowers, in addition to the payback of the loan principal, which is typically less than 12 months.
➢ Loan Diversification – The Fund creates a highly diversified portfolio of real estate loans, in order to limit the exposure to any borrower, property type, geographic location, and loan type.
➢ Strong Lending Track Record – The principals have a very successful historical lending track record dating back to 2007 that includes over $40 million in total real estate loans with a weighted average loan-to-value (LTV) less than 70% and gross realized returns above 12% per annum.*
➢ Consistent Deal Flow – Grand Coast has access to an unparalleled network of real estate investors across the country, through their affiliate companies, that are active in the real estate investing business and rely heavily on private money and hard money lenders.
➢ Experienced Real Estate Investment Team – The principals’ background in the real estate industry has been primarily focused on acquisition, development, construction, and management, which provides the necessary experience as true real estate “operators” to understand the intricacies of real estate investment, and be able to more effectively underwrite and analyze the risk associated with lending on a variety of real estate transactions
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* Investing in financial and real estate markets involves a substantial degree of risk. There can be no assurance that the investment objectives or returns described herein will be achieved. Past performance is no guarantee of future performance or that such investment opportunities will become available to the Fund.