By employing a "value investing" strategy, we aim to build a diversified and resilient portfolio consisting of high quality cash generating real estate assets across a range of asset classes consisting of mortgages, residential, commercial, and industrial assets.
We aim to acquire these real estate assets across a range of sectors with varying risk, return, liquidity, time horizon and regions. Our diversified approach is designed to deliver outperformance by generating sustainable income and competitive capital returns, while minimizing downside risk. This in turn allows us to provide a risk adjusted fixed 7% APY yield rate through Compound Bonds.
We also aim to empower communities, people, and businesses with access to capital that was historically denied to them. We give loans to underserved and underbanked populations, adding a human touch to the otherwise rigid world of finance.