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DB Capital Management

Playa Vista, CA

DB Capital Management’s mission is to be the leading multifamily investment group in each of our focus markets and always exceed our clients’ expectations.

Operations: DB Capital’s asset management strategy revolves around finding and unlocking hidden asset value through an acute attention to detail.

Boots on the ground asset managers in each of our target markets enables our team to monitor market changes on a day-by-day basis.

We have developed systems and procedures, deployed by our asset management team, which provide full transparency and understanding of the goals of each project to all key stakeholders.

Our investment strategy focuses on pursuing projects that demonstrate a low level of risk to loss of capital and an ability to drive returns through targeted management and construction.

Property Characteristics:

Investment Type: Core, Core+, and Value Add

Product Type: Multifamily

Property Quality: B- to A- Properties (1980s and newer)

Submarket Quality: B- and Greater Submarkets

Investment Characteristics:

Project Hold Periods: 2-10 Years

Cash on Cash Returns: 7% or greater

Project Level Returns: 15%+ IRR

Targeted LP Returns: 13%+ IRR

Total Capitalization: $5MM-$100MM

Debt Characteristics:

Loan Type: Bridge and Permanent

Loan Term: 2-10 Years

Loan-to-Cost: 50% to 75% of Total Capitalization

Loan-to-Value: 65% to 70% of Stabilized Value