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BCC

Investment Strategy

 


Overview
BCC targets middle-market opportunities across the Western United States with a focus on multifamily, mixed-use, industrial and hospitality assets. The firm invests directly in real estate and related operating companies through fee-simple acquisitions and special-situation transactions. BCC pursues opportunities where execution, capital structure, and operational discipline can unlock long-term value.
 
Direct Investments: Source, underwrite, and execute;  focusing on renovation, lease-up, or intense value-add projects.

Co-GP with Premier Developers: Selectively partner with best-in-class developers to provide capital and execution support. Our edge is identifying projects too complex or undercapitalized for traditional capital partners.
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Investment Profile:
Value-add, Opportunistic, Development
Asset Class:
Multifamily, Mixed-Use, Industrial, Hospitality
Geography:
Western United States
Project Size:
$30M to $350M
Hold Period:
5 – 8 years

Sourcing Advantage
Identify Assets
1 ) Survey MSA for all ‘buy box’ assets
(1,000–2,500 assets)
2 ) Catalog target assets by geography
(500–1,000 assets)
3 ) Target by building attributes
(250–500 assets)
4 ) Proactive outreach
(250+ assets)
Engage Network
Direct outreach  |  Leasing brokers
Single broker firms  |  Estate planners
Tenant relationships  |  Lawyers
Accountants  |  Distressed situations
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One Sansome Street, Suite 1400
San Francisco, CA 94104
Email: contact@bcclp.com
Phone: +1 415-562-8160


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