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Investment Strategy

The investment strategy of Arete Capital Group is centered around human behavior, specifically how people behave and react in local markets and submarkets.This approach is used to support and update the investment hypothesis.Arete narrows down investment direct, first by asset type and class, followed by a market and submarket analysis and concluding with a traditional monetary return analysis.

Target Returns

Value-Add Assets:

Multifamily

Hold Period: 3-7 Years

IRR: +15%

Equity Multiple: +2.0x

Self-Storage

Hold Period: 3-7 Years

IRR: +15%

Equity Multiple: +2.0x

Self-Storage w/ Expansion

Hold Period: 3-7 Years

IRR: +20%

Equity Multiple: +2.5x

Development:

Single Family Residential

Hold Period: <2 Years

IRR: +30%

Equity Multiple: +2.0x

Self-Storage

Hold Period: 3-7 Years

IRR: +25%

Equity Multiple: +3.0x

How We Lift The Standards

Focusing on New Developing Markets

Due to the new economic changes, new developments shift to tertiary and suburban markets to achieve higher returns.

Analyzing The Market & Ecosystem

Using proprietary formula for human behavior and migration patterns we analyze the area's future needs in-order for the new upcoming ecosystem to flourish.

Targeting Goal Assets

Arete aims to identify the product that is the highest and best use to feed the future growth of a submarket while aligning with the mission, vison, and values of Arete and the goals and initiatives of investors.

Address

1317 Edgewater Drive, Suite 1232, Orlando, FL 32804

Phone

678-622-7089

Email

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