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Why Invest With Us?

A team with expertise and strong experience

Capital Preservation

Asymmetrical Risk

Diversification

Eleos Capital Group recognizes the significance of smart acquisitions as the key to profitability. Our highly experienced team boasts a proven track record of securing mortgage notes with exceptional yields that outpace inflation, spanning from 2003 to the present. Please refer to the Addendum for detailed statistics regarding our recent mortgage note endeavours. 

Our debt investments benefit from the inherent value of underlying collateral. In addition, we employ various risk mitigation strategies, including maintaining a minimum Loan-to-Value (LTV) ratio, to safeguard investor capital against potential defaults.

The group excels in undertaking calculated risks that yield exceptional returns, surpassing the level of risk assumed. By establishing an asymmetrical risk profile, we adeptly identify and capitalize on unbalanced opportunities within the marketplace.

Real estate debt presents investors with a compelling opportunity for higher-yielding fixed income investments, complementing and enhancing the return profile of their broader fixed income portfolios. Additionally, allocating a portion to US real estate debt improves portfolio volatility by leveraging its low correlations with other traditional asset classes. 

Residential Apartment Building

Our Unique Approach

Win on Entry

Our exclusive sourcing and inventory acquisition methodologies empower us to secure high-quality assets capable of fulfilling our return objectives from the very first day.

Strong Due Diligence

We prioritize excellence through a robust process that serves as the foundation of our return strategy. Our time tested approach to due diligence, asset valuation, and documentation analysis ensures that the notes we acquire meet our stringent requirements, enabling us to achieve the anticipated returns upon exit.

Creative Deal Structuring

Our proficiency in developing creative deal structures at every stage of the deal life cycle enables us to deploy multiple strategies to add value to assets and effectively mitigate risk, thereby enhancing our portfolio's performance during asset exit.

Operational Excellence / In House Expertise

With our extensive in-house experience in managing both performing and non-performing notes, we possess the ability to optimize operations, drive cost efficiencies, and execute with utmost efficiency, leveraging the finest available resources.

Create Win-Win Scenario for Borrowers

Through our proprietary process, we adopt a relationship-centered approach when engaging with our borrowers, fostering mutually beneficial outcomes that create win-win scenarios for both parties involved.

Expansive Network & Partnerships

Drawing upon our global network and strong banking relationships, we are able to forge strategic partnerships that enable us to consistently access compelling assets and present highly promising investment opportunities.

Need more details? Contact us

We are here to assist. Contact us by phone, email or via our social media channels.

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