Investment Strategy
Vertical Integration, Value-Add Properties in High-Growth Areas.
Founded in 2011, Golden Bee is a full-service real estate asset management firm that invests in workforce housing across Southern California and Southern Nevada. The firm invests in areas with strong job growth and specializes in working with housing assistance providers to meet the needs of today’s urban workforce.
With approximately $300 million of real estate currently under management along with the experience of another $150 million in assets that have gone full cycle, Golden Bee has the breadth of experience required to work with global investors in placing their capital in some of the United States’ most dynamic metropolitan areas.
Founded in 2011, Golden Bee is a full-service real estate asset management firm that invests in workforce housing across Southern California and Southern Nevada. The firm invests in areas with strong job growth and specializes in working with housing assistance providers to meet the needs of today’s urban workforce.
- Excellent 12 Year Track Record
- Average IRR 48%
- Vertical Integration Controls Costs
- Proven Success in All Economies
- Receive High-Quality Service
- Ideal Passive Investment Opportunity
- Accredited Investors Only
- Geographical Diversification
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Founded in 2011, Golden Bee is a full-service real estate asset management.
Target
Investment Strategy
Golden Bee utilizes its localized knowledge of the Greater Los Angeles and Las Vegas areas to acquire $10 to $50 million mid-market investments that are out of reach for smaller firms and ignored by larger institutional investors. Our team’s vertical integration allows us to have greater access to operational data and input from our management team on the ground. Because of this, we can communicate efficiently and problem solve quickly, achieving target returns of 13- 22% and executing value-add business plans to improve, operate, and sell Class B and C workforce housing within three to seven years.
Product Types
Class B & C Multifamily
Core Strategy
Value-Add
Target Returns
13 - 22%
Transaction Size
$10 – $50 million Mid-market investment
Hold Period
Average hold period is 4 years
Market Focus
West Coast Greater Los Angeles and Las Vegas areas
Growth in Investor Returns
We Build
Long-term Wealth
We specialize in real estate risk adjustment modeling to ensure our investors are maximizing their profits while minimizing their risk.
We focus on acquiring Class B and C assets in workforce housing neighborhoods, all with a substantial value add component. By doing so, we ensure that we are investing in areas with upward growth potential and limited downside risk.
Our investor returns have grown substantially over the past half decade at a rate of almost 120% year over year.
We Beat
The Market
Through our single purpose assets and pooled funds and portfolios we have created significant returns for our investors. We have sold over $150 million in real estate and currently have approximately $300 million in assets under management (AUM).
Our investors have seen an average 48% internal rate of return and a 2.9x equity multiple over the last decade.*
* Potential investors should be aware that investments are highly speculative, illiquid and involves a significant degree of risk. Past performance is not indicative of future perform.
48%
Average IRR
2.9x
Average Cash Multiple
4 Yrs
Average Hold Period