Investment Strategy

Kingbird invests its own capital, along with that of its co-investors and operating partners, to capitalize on these market inefficiencies to achieve stable cash flow, and value appreciation, while minimizing downside risk exposure. Our focus is to create long-term value through careful stewardship of investments and assets.


Kingbird Investment Management has invested in 14 markets in the U.S. and Latin America, including over 5,000 multifamily units and more than 1.2 million square feet of commercial property.

Kingbird Market Footprint

The Kingbird Advantage

Kingbird serves as a strategic asset-allocator for Grupo Ferre Rangel’s family office, as well as for our co-investors, to create joint ventures with local operating partners. We provide a vertically-integrated investment management capability starting from the initial investment through the exit process.

Kingbird benefits from its expertise and broad relationship network across the real estate industry. This provides access to market intelligence, local operators with deep relationships and inefficient pricing — which, in turn, creates enhanced opportunities to invest below replacement cost and helps Kingbird generate durable yields and sustainable value.

Macro-to-Micro Data-Driven and Propietary Analysis

Kingbird’s role:

Co-investment capital

Investment strategy

Sourcing

Underwriting

Market research

Due diligence

Financial structuring

Asset management

We understand that aligning interests with expert local operating partners is the best way to preserve investor capital and hedge against risk.


Kingbird’s commitment to full transparency and accountability with our family members extends to our co-investors. We believe that information access and open communication is vital to successful partnerships.

Kingbird Business Timeline

Kingbird seeks to create a portfolio that balances downside protected returns with upside oriented higher asset level returns. Our ability to move up and down the capital stack, from GP and co-GP, to LP, preferred equity and mezzanine debt positions, provides opportunities to improve risk-adjusted returns as markets evolve.


Our ability to invest across multiple geographic regions, multifamily product types and operating partners enables us to capture a broad opportunity set while maintaining a disciplined investment approach.

Kingbird’s unique partnership network with local property managers enables us to maximize operating efficiency, cash flow and value.

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