What We Do

Our Approach.

We prioritize protecting unitholders from major downside risk, without sacrificing upside potential. Our dedication to this principal has consistently provided superior risk-adjusted returns, and made us a trusted voice in Canadian real estate equity financing. 

2011

First Fund Formed

5

Total Funds Formed

$525M

Committed Capital

Our Strategy.

CMCC Capital Funds has consistently adapted its investment approach for each of its Funds based on the economic environment which prevailed at that time. The strategy prioritizes:  

  • By prioritizing relationships with large, well-capitalized partners, we ensure each project is supported by comprehensive expertise and strong financial backing.

  • The Fund Manager has invested $56 million across the initial five funds, including $19 million in parallel investments on larger deals requiring outside capital.

  • By employing moderate leverage, we are able to confidently navigate market volatility throughout a project’s lifecycle.

  • Each fund has an Investment Committee consisting of experienced real estate experts, who are amongst the largest investors in the Fund.

Our History.

2011

Fund I

$25,000,000

Pie chart showing CMCC Capital Funds - Fund One (1) real estate asset class allocation. The fund's asset class breakdown was as follows: 50% mid-rise residential, 39% high-rise residential, 11% low-rise residential.

2014

Fund II

$65,130,000

Pie chart showing CMCC Capital Funds - Fund Two (2) real estate asset class allocation. The fund's asset class breakdown was: 36% low-rise residential, 17% high-rise residential, 16% mixed-use, 14% rental, 11% mid-rise residential, 6% retail.

2016

Fund III

$66,350,000

Pie chart showing CMCC Capital Funds - Fund Three (3) real estate asset class allocation. The fund's asset class breakdown was: 40% mid-rise residential, 22% high-rise residential, 19% low-rise residential, 14% mixed-use, 5% industrial.

2019

Fund IV

$92,850,000

Pie chart showing CMCC Capital Funds - Fund four (4) real estate asset class allocation. The fund's asset class breakdown was: 49% high-rise residential, 18% industrial, 14% mid-rise residential, 11% mixed-use, 8% rental.

2021

Fund V

$157,250,000

Pie chart showing CMCC Capital Funds - Fund Five (5) real estate asset class allocation. The fund's asset class breakdown was: 37% mixed-use, 24% low-rise residential, 21% industrial, 18% mid-rise residential.

Mid-Rise Residential

High-Rise Residential

Low-Rise Residential

Retail

Rental

Mixed-Use

Industrial