Our Investment Strategy

Maximizing Returns, Minimizing Risks

At Thorvest Capital, our investment strategy is designed to generate attractive returns for our investors while mitigating risks associated with real estate investments. Our approach is built on a foundation of meticulous research, expert analysis, and proactive management.

Key Elements of Our Strategy:

  1. Market Research: Comprehensive study to identify high-growth markets.
  2. Asset Selection: Rigorous criteria for choosing properties with untapped potential.
  3. Value-Add Initiatives: Strategic investments in property enhancements.
  4. Community Building: Creating a sense of belonging for our tenants.
  5. Financial Structuring: Ensuring optimized returns for our investors.

Join Thorvest Capital in our pursuit of sound real estate investments that deliver consistent and attractive returns. Your financial success is at the heart of our strategy.

Investment Criteria

Transaction Size

$2 million to $20 million +

Asset Type

C-B+ multi-family properties, including hotel conversions to multi-family

90+% occupied assets capable of obtaining long-term debt

Ratios and Exit

Capable of achieving 6-8% cash on cash return at takeover

A debt coverage ratio of 1.5

5-7 year holds

Target Markets

Primary and emerging markets nationwide