WHAT WE DO
Through its flexible investment mandates, Cottonwood invests across the liquidity spectrum in equity and credit. With highly differentiated and opportunistic strategies, we focus on identifying inefficiencies in real estate where we can capture excess returns.
By comparing and measuring risk, illiquidity, and returns, we employ a dynamic and selective investment process. As a result of this process, we are able to combine our various niche strategies with tactical asset allocation and other investments in order to create portfolios with attractive returns within a specified risk tolerance.
ORIGINATION BY REGION (PDF)HOW WE INVEST
Mid-sized opportunities that are overlooked
Discounted and misunderstood market segments
Investments that fall outside of traditional mandates
Move decisively to provide financing solutions
Invest in undercapitalized assets
Utilize capital market expertise to optimize structures
Target event-driven, situational distress
Simplify misaligned capital and ownership structures
Navigate structural complexities
Mid-sized opportunities that are overlooked
Discounted and misunderstood market segments
Investments that fall outside of traditional mandates
Move decisively to provide financing solutions
Invest in undercapitalized assets
Utilize capital market expertise to optimize structures
We maintain strong capital relationships with financial institutions, loan sellers, intermediaries and sponsors across the globe. Our extensive experience ensures that we serve a diverse set of institutional investors and capital providers, including Fortune Global 500 institutions, PERE Global 100 companies, and Forbes 1000 family offices. We have offices in Los Angeles, Boston, and New York.
NATIONAL MARKETS COVERAGE
-
KEY INVESTMENTS
-
COTTONWOOD OFFICES