Investment Management

Durable performance through complexity and changing market cycles

Westmount Square Capital invests in value-add and distressed multifamily assets. Our strategy targets properties that are undercapitalized and present operational uplift opportunities. We drive value through disciplined underwriting, hands-on asset management, and direct capital investment. Via end-to-end execution, we prioritize downside protection while improving cash flow stability, operational performance, and the resident experience. We are focused in markets supported by long-term demographic and economic trends, with the objective of generating resilient income and attractive risk-adjusted returns across market cycles.

Risk-First Discipline

Underwriting prioritizes basis integrity, prudent leverage, and covenant protection. Stress testing focuses on cash flow coverage and capital preservation.

Operational Alpha

Hands-on, KPI-driven asset management converts business plans into durable NOI through disciplined execution and targeted improvements.

Aligned Exit Pathways

Flexible capital structures preserve optionality, enabling disciplined execution across multiple exit paths

Multifamily Investment Strategy

Value-Add
VINTAGE
1990s+
GEOGRAPHY
High-Growth Primary And Secondary Markets
Returns
Minimum 16% IRR & 1.5x Equity Multiple
Hold Period
3-7 Years
Operations
Stable
Renovations
50% or more classic units
Size
100+ Units
Distress
Product
Garden Style
Vintage
1970+
Geography
Sunbelt & Midwest
Returns
Opportunistic
Hold Period
2-4 Years
Operations
Turnaround / Distressed
Size
100+ Units