Investment Strategy

Equus Capital Partners, Ltd. has used its direct operator model to source, evaluate, develop, acquire, reposition and sell over 45 million square feet of commercial assets and 42,000 multi-family units.

Implementing the firm’s strategy requires an in-market presence with expansive relationships, a disciplined investment review and approval process, and an integrated team of dedicated professionals experienced in acquisition, development, asset management, capital markets and dispositions.

Investment Sourcing: Equus seeks supply constrained, highly amenitized markets and sub-markets, each having a diversified economic base and exhibiting strong population and job growth.

Executing Strategies: Equus creates value by growing and sustaining income through the acquisition and development of institutional quality assets in primary non-gateway and secondary markets.

Risk Mitigation: Equus’ portfolios are income focused, diversified by both product and geography, and financed with terms that enhance value and optimize flexibility. The firm and its management personnel are aligned with Equus fund Investors through the elimination of third party operators.

Alignment of Interest: Equus principals and senior leadership personally invest in all Equus funds. This level of personal commitment combined with the Firm’s governance policies, ensure alignment with its Investors.

Through investment sourcing, executing strategies, risk mitigation, and alignment of interest, Equus continues to be a top performing real estate investment manager.