Investment Strategy

Flo Capital remains flexible, taking a proactive approach to investment strategy, and varies the portfolio allocations between core, value-add and development opportunities. Our investment strategy is to prudently invest the capital entrusted to us in high-quality, income-generating assets with significant growth or value-add potential while emphasizing on capital preservation. We invest with the goal of generating an average annualized return of at least 25% in our development-based investments, 14 - 20% in value-add opportunities and 8 - 12% in our core holdings. Our investment platform allows us to partner with private accredited investors, institutional investors and trusted real estate developers in development or re-positioning of quality assets that generates exceptional returns.



 We invest in stabilized income-producing properties in major markets or  close proximity to major markets that generate strong risk-adjusted returns. 



We seek to invest in under-performing or undervalued assets that are income producing in strategic locations that have strong turnaround or enhancement potential. We enhance the value of the assets by creating and executing a sound value-add initiative(s) to maximize the value of these assets and generate strong returns for investors. 



We partner on an equity-basis with trusted real estate developers to jointly acquire properties in well-suited growing urban and suburban markets. Then develop the properties into a new residential, mixed-use and commercial assets that generate exceptional returns for investors.