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What We Do

investment strategy
investment strategy

About Us

Manglar Capital's multifamily and residential platform is focused on the acquisition, development, management and re-positioning of multifamily and residential opportunities in key US markets.

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Our investment strategy is to take advantage of key markets with strong fundamentals and moderate cap rates to maximize returns for our investors.

Investment
Opportunity

Downturn  
resiliency

Investment strategy based primarily on acquiring and develop recession-resilient multifamily properties with strong fundamentals.

Deep-rooted relationships

Investment sourcing and structuring through best-in-class real estate operators with extensive experience with “boots on the ground” and strong relationships in each target market.

Proprietary sourcing relationships and analysis

Preferred access to data and analytics from industry leaders. Current pipeline includes both broker and off-market deals in selected markets with compelling investment opportunities.

Complete Transparency

A trustworthy reputation that stems from our long-term, prudent but successful approach to doing business.

Superior
Returns

Our unique approach to analyzing and investing focusing on maximizing the returns of our investors.

Making a Difference

We pride ourselves on forward thinking, on responsible investment, and acting sustainably. These attributes allow us to deliver long-term, sustainable value that continues to grow, for all our stakeholders, clients, and communities.

Investment
Strategy

Manglar Capital maintains a structured and disciplined investment process to mitigate risk and maximize returns to our investors.

Advantages of real estate investing

Cash flow

​Capital appreciation​

Hedge against inflation

Tax benefits

Leverage

Stability and diversification

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