Investment Strategy
C-STAR's overall investment strategy is built on a foundation of combining deep-rooted industry expertise with cutting-edge technology and a strong commitment to responsible corporate practices. This comprehensive approach positions C-STAR as a forward-thinking player in the real estate investment landscape, capable of delivering long-term value for its investors and the communities it serves.
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 - 73.7% *
* as of Dec. 2023
C-SFR Fund III
Status - Fund Closed
Vintage Year - 2022
Fund Term - 3 to 5 years
Market - Georgia, North Carolina, South Carolina, Tennessee, Alabama
C-STAR’s investment strategy is uniquely designed to maximize returns and mitigate risks, focusing on investment in high-quality assets with strong cash yield and portfolio premium in recession-resilient markets.
We are actively raising capital for C-SFR Fund III, poised to provide investors with a strategic and robust real estate investment approach.