Portfolio

Target Portfolio

Our portfolio is strategically overweight in the multifamily asset class, which has proven to be one of the most historically stable and less volatile sectors in real estate.

Multifamily properties—such as apartment complexes—tend to be resilient in various market cycles, providing consistent cash flow and lower investment risk.

Multifamily provides favorable supply and demand fundamentals: growing housing demand and supply constraint with limited new starts.

¹ KDM Capital Partners' displayed target portfolio weights are structured with the goal of reaching critical mass at $250 million in Assets Under Management (AUM).

Portfolio “Ramp Up”

Portfolio “Ramp Up”

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Investment selection & capital deployment is an extensive due diligence process


Conservative underwriting and focus on high-quality deal selection, reflected in the fund’s 7% loan approval rate.

Investment Process

Investment Process