Unlock unparalleled growth and profitability with Ember Capital's rigorously developed, data-driven investment strategy. Here, we outline our comprehensive approach to generating sustainable returns for our investors.
Investment Philosophy
At Ember Capital, we believe in the power of meticulous market research, prudent asset selection, and agile management to deliver dependable, long-term returns. Our focus is on creating value, not just capturing it.
Risk Management
Risk management is at the core of our investment strategy. We employ advanced modeling techniques and contingency planning to anticipate and mitigate potential risks, ensuring steady, reliable returns for our investors.
Sustainability and Growth
Our strategy is not just about immediate returns; it’s about laying the groundwork for long-term growth. We aim for a well-balanced, diversified portfolio that stands the test of time and market fluctuations.
Investment Criteria
$2 million to $10 million +
C-B+ multi-family properties
90+% occupied assets capable of obtaining long-term debt
Capable of achieving 6-8% cash on cash return at takeover
A debt coverage ratio of 1.5
5-7 year holds
Primary and emerging markets nationwide