Investment Strategy
Our strategies focus on traditional value-add, core plus and preferred equity allowing us to provide practical and diverse investment opportunities for ourselves and our partners.
Rainier utilizes both value-add and core plus investment strategies to generate attractive, risk-adjusted returns comprised of current cash flow and capital appreciation. For 2024-2025 our focus is on growing our grocery-anchored retail portfolio with high-quality stabilized and value acquisitions while monitoring the broader commercial property types for macro opportunities.
Rainier provides structured finance solutions in the form of mezzanine debt or preferred equity, where the ability to move quickly and creatively offer a competitive advantage to the borrower or partner. Rainier expects to make $100 million of new debt and preferred equity investments throughout 2024-2025. Program details below:
$5-15 Million, Per Property
Up to 85% LTC
2-5 Year Term
Current Yield 8-10%
Total Return +/- Mid Teens
Property Types: Multifamily, Retail, Other Stabilized Asset Classes