Investment Criteria

CIG concentrates on existing multifamily assets in strategic markets where the potential exists to add value over a 5 to 7-year hold. The exit strategy is executed at a point when operating conditions, and local market’s cycle dictate maximum returns in the investment, typically between Phase 1 and Phase 2.

Our initial acquisition approach starts with an end in mind. Our success and reputation is based on a very conservative approach to the numbers, combined with deep analysis of capital markets and asset. We take pride in our high value of service, passion and ethics in what we do.