STRATEGIES
Cottonwood’s flexible investment strategies span equity and credit, targeting inefficiencies in real estate to capture excess returns. Our dynamic, selective process balances risk, illiquidity, and returns, blending niche strategies with tactical asset allocation to craft portfolios that deliver attractive returns.
SPECIAL SITUATIONS
Taking advantage of mispriced debt and equity investments that are available at attractive risk-adjusted returns due to structural or market factors
VALUE-ADD EQUITY
Capture opportunities through asset management and operations with quality operating partners in attractive markets
OPPORTUNISTIC CREDIT
Capital preservation and current yield are priorities across diverse property types and geographies at an attractive risk/reward ratio