About
Our Company
We're on a mission to seek attractive risk-adjusted returns.
Rockstone Capital and through its affiliates, acquires and manages investment portfolios primarily comprised of real estate debt securities, loans, real estate and related instruments.
20+ years of experience.
The management team has been involved in thousands of real estate and mortgage transactions over the last 20+ years and had developed a strategy for risk -adjusted returns for both up and down economic cycles.
Focused Strategy
We seek to identify inefficient real estate credit markets and employ a rigorous, research-based investment, financing and asset management approach designed to minimize risk while maximizing returns to investors.
Deep Experience
Our analyses combine internal research and credit models to develop performance expectations of the housing and real estate markets, as well as default, severity and prepayment projections. Using loan level and market data for exit strategy.