We seek to thematically invest in high-quality assets driven by secular trends and demand tailwinds, leading to outsized growth potential. 

Clearwater is focused on equity, debt, and mezzanine investment opportunities across our core-plus, value-add, and opportunistic strategies.  We seek to deploy capital into direct investments with co-investment partners, including high-net-worth individuals, family offices, sovereign partners, and pension plans.

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We focus on acquiring and developing institutional quality assets that deliver superior risk-adjusted returns for our investors.

Our core plus strategy seeks to acquire stabilized real estate assets with a long investment horizon and moderate leverage to unlock additional value through a focused investment management approach. We primarily focus on income-generating assets primarily in the top 50 U.S. markets.

Our value-add strategy seeks to take advantage of undermanaged and under-funded income-producing assets, including hotel, industrial, multifamily, office, and mixed-use properties across the United States. The strategy seeks to create value and generate superior risk-adjusted returns to investors through buying properties at attractive valuations, implementing best-in-class investment management initiatives to increase income, and identify exit strategies.

Our opportunistic strategy seeks to capitalize on increased investor demand for developed and stabilized assets by focusing on the repositioning of assets, capitalization of distressed and special situations, and development of core-quality assets across all major property types including data centers, hotel, industrial, and office properties throughout the United States and Western Europe.

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