Solution introduction

Intelligent diversification into real estate

Invest in a highly-diversified portfolio of multifamily, industrial, office, and hotel properties across high-potential markets across the United States

Cadre Direct Access Fund seeks to deliver Value Add returns with downside protection
Our focus is on quality over quantity. We work with our experienced operating partners to carefully select each fund investment to add to a diverse mix of institutional-quality investments across risk and return profiles, asset classes, and markets. To build a balanced portfolio, we will pursue investments in the core plus, value add, and opportunistic strategies with a primary focus on Value Add returns for the fund.

We designed Cadre Direct Access Fund to balance risk and return through careful portfolio construction
Careful portfolio construction means two things: prudent property type allocation and insightful market selection.

Property Type Allocation
COVID-19 has disparately impacted property operations and supply/demand fundamentals across asset classes. As a result, asset values and availability of financing across asset classes have been significantly impacted.

Given this outlook, the fund will target 50% of its investments in stable multifamily assets, intended to generate attractive risk-adjusted returns and downside protection, and will opportunistically pursue 50% office, industrial, and hotel investments that have a higher potential to generate upside as they recover from COVID-19 disruption.

Market Selection
Cadre Direct Access Fund will focus on investing in fifteen top growth markets that we selected by combining insights from our investment team and predictive analytics from our proprietary data platform. We call these markets the Cadre 15.1

We tuned our models to identify markets with attractive return profiles and relative affordability. Amidst COVID-19, we have seen a flight to high-quality secondary markets, where there has historically been diverse drivers of demand growth and ample supply across asset types.

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