Investment Strategy
C-STAR’s core competitive edge lies in the investment strategies that leverage data-driven market picking strategies, disciplined underwriting methodologies, and proprietary technology, to generate enduring value for our investors.
Investment Markets
C-STAR strategically targets the Sunbelt real estate investment markets of Georgia, North Carolina, South Carolina, Tennessee, and Alabama.
C-SFR Fund I
Status - Realized
Vintage Year - 2018
Liquidation Year - 2022
Market - Georgia
Realized Gross IRR - 35.3%
Realized Net IRR - 27.1%
Realized Multiple - 3.0X
C-SFR Fund II
Status - Fully Invested
Vintage Year - 2020
Fund Term - 3 to 5 years
Market - Georgia, North Carolina
Realized NAV Growth - 88.6% *
* as of June 2024
C-SFR Fund III
Status - Fund Invested
Vintage Year - 2022
Fund Term - 3 to 5 years
Market - Georgia, North Carolina, South Carolina, Tennessee, Alabama
C-SFR Fund IV
Status - Fund Launched
Vintage Year - 2024
Fund Term - 3 to 5 years
Market - Georgia, North Carolina, South Carolina, Tennessee, Alabama, Virginia, Indiana, Kansas
C-STAR’s investment strategy is uniquely designed to maximize returns and mitigate risks, focusing on investment with value creation, strong cash flows and market appreciation from strong rental demands in growing and resilient markets.
We are actively raising capital for C-SFR Fund IV, poised to provide investors with a strategic and robust real estate investment approach.