Investment Management
Institutional capital raising with national sourcing capabilities, transparent reporting, governance standards, and risk-managed returns.
National Portfolio Sourcing
Access to institutional deal flow across all US markets with specialized sourcing teams and deep partnerships spanning banks, servicers, and asset managers nationwide.
Multi-State Sourcing
Institutional partnerships enabling sourcing of non-performing portfolios, REO inventories, and distressed credit across all US markets.
Disciplined Selection
Rigorous underwriting and fund mandate alignment ensuring qualified portfolio acquisition meeting return and risk profile objectives.
Capital Deployment
Rapid transaction execution with transparent closing workflows and experienced coordination delivering reliable deal completion.
Strategy Overview
Distressed Mortgage Credit
Strategic acquisition and recovery of non-performing and sub-performing mortgage notes with disciplined underwriting and structured resolution frameworks.
REO & Special Situations
Acquisition and disposition of real estate owned assets and special situation portfolios with community-focused liquidation strategies.
Private Debt
Structured private debt opportunities across distressed credit, workforce housing, and asset recovery with transparent capital structures.
Structured Co-Investments
Custom structured opportunities aligned with institutional investor objectives and risk-return profiles.
Current Fund Offerings
Distressed Debt Fund
Multi-Strategy Institutional Fund
Fund Mandate
Disciplined acquisition and recovery of distressed mortgage credit and sub-performing portfolios with structured downside protection.
Target Asset Type
Non-performing notes, sub-performing mortgages, and performing-to-distressed transitions.
Risk Mitigation Framework
Comprehensive due diligence, asset-level surveillance, integrated insurance coverage, and capital reserve strategies.
Return Thesis
Mid-teen to low-20s returns through disciplined underwriting, operational efficiency, and structured recovery strategies.
$100M Non-Performing Mortgage Note Fund
Institutional Capital Opportunity
Fund Mandate
$100M institutional fund focused on seasoned non-performing mortgage notes with strong recovery potential across national markets.
Target Asset Type
Grade-A and Grade-B non-performing mortgage notes with 12+ months seasoning and documented recovery prospects.
Risk Mitigation Framework
Waterfall structure with preferred returns, asset-level insurance, and active portfolio management with specialized servicer oversight.
Return Thesis
Target 13-18% IRR with 7-10 year realization through structured recovery and disciplined disposition strategies.
Private Debt Fund
Structured Credit & Secured Lending
Fund Mandate
Structured private debt opportunities in distressed credit, asset-backed securities, and secured lending to specialty operators.
Target Asset Type
Secured debt, mezzanine capital, and credit opportunities with equity-like returns and downside protection.
Risk Mitigation Framework
Conservative loan-to-value ratios, personal guarantees, asset-level surveillance, and active workout management.
Return Thesis
12-16% blended returns through weighted-average debt yields and selective equity appreciation.
Community Redevelopment Fund
Impact-Aligned Capital Strategy
Fund Mandate
Workforce housing and community stabilization capital with measurable impact outcomes and transparent community-benefit reporting.
Target Asset Type
Workforce housing acquisition, renovation, and stabilization assets across underserved communities.
Risk Mitigation Framework
Hybrid return structures balancing financial performance with community impact; structured downside protection through operational controls.
Return Thesis
8-12% returns with measurable community impact including housing stabilization, job creation, and neighborhood revitalization outcomes.
Investor Portal
Access secure investor documentation, performance reporting, and fund administration through our institutional-grade portal.
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