Charter Capital identifies opportunities, often caused by inefficiencies in the market, and quickly responds to changing conditions. It carefully assesses potential risks and opportunities; market fundamentals; cash flow; replacement cost; leverage; and competitive positions before investing.These factors are carefully addressed in comprehensive investment strategies at acquisition that are updated regularly.

While investment product types and geographic locations have changed with the varied market conditions, Charter Capital has implemented the opportunistic investment strategy throughout the investment cycle. Its disciplined approach and diligent management have achieved superior risk adjusted returns in excess of 25% since inception.

• 27 Investments
• US $353 Million in Property
• 26% Internal Rate of Return
• US $130 Million in Gross Profits