Satilla Capital believes the real estate debt markets are inefficient, allowing a manager with the right platform and skill set to generate outsized returns. In addition to statistical analysis, Satilla is able to quickly perform fundamental analysis on the debt’s underlying collateral, utilizing the firm’s significant expertise in owning properties and its extensive network of local operating partners. We have the ability to invest throughout the debt capital structure when we can earn appropriate returns.
Furthermore, in early 2014 Satilla Capital acquired and currently operates a finance company that is an opportunistic provider of liquidity to otherwise underfunded situations. Satilla’s finance company supports our debt investment strategy by providing the framework and process to efficiently manage investments from inception to realization. The finance company’s portfolio includes multi-family, retail, office, industrial, land, residential investment and media.