Fund Management

RER, LLC looks to raise funds towards its innovative, demand-based strategy devoted to multi-family real estate investments for both cash flow yields and cyclical profit trade.  The fund’s objective is to outperform the benchmark indices while utilizing a risk-reward model driven by capital preservation. We invest into the following opportunities, with intentions of providing an adequate mix of investments, so that we can achieve high returns in a risk-adjusted manner:

  • 2 to 10 unit assets with the capacity to produce strong rental yields
  • Short sale, sheriff, and auction derived assets purchased by use of technical indicators (3-M model), which are traded out within a 6 to 8 month investment cycle
  • Mezzanine and non-performing notes

Our firm delivers the following strengths:

  • A proprietary “demand-based” investment strategy, wherein buyers are established prior to our purchase of a distressed asset, meaning a guaranteed sale line and decreased market risk
  • A well-established track record of 19% ROI across an 8 to 10 month investment cycle on 30+ investment projects
  • Prior fund management experience on behalf of institutional and HNWI individuals
  • Strong operations management with the expertise of 10+ years experience within the field and the investment market
  • Unique operations structure with an “assembly line” approach: Individual teams direct specific aspects of the investment process, including valuation, acquisitions, construction, and marketing
  • Cutting edge analytics technique, exclusive to our firm, allowing the evaluation of real time market data

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