Serac Capital Partners owns, operates, and develops real estate. 

We are value-added and distressed investors who pursue gross returns of 15% and above. We focus on projects where our unique experience and hands-on approach can add value. Once the maximum value has been added, we typically look to exit the investment. 

 
 

Asset Classes:

  • Multifamily: Class A- and B

  • Neighborhood Retail, with emphasis on service tenants

  • Multi-tenant Industrial/Flex

  • Office: Class A and B

  • Non-performing notes

Primary Markets:

  • Atlanta

  • Austin

  • Charleston

  • Charlotte

  • Dallas/Ft. Worth

  • Denver

  • Houston

  • Nashville

  • Phoenix

  • Raleigh/Durham

  • Salt Lake City

  • San Antonio

  • Tampa

Return Criteria: 

  • Gross returns: 15% + annually

  • Hold Period: 3-5 years

  • Pricing: $15 - $75 million

  • Leverage: 60% - 75%