Investment Protection
Risk Profile
🛡️
ZERO
Foreclosures or Distressed Exits
1
📉
Below-Market Entry
Built-in equity buffer at acquisition. We buy at discount to ARV — market can correct and we still profit.
Margin buffer on every deal
2
Short Hold Period
~5 month average means minimal market exposure. Low chance of adverse macro shift during any single deal.
Reduced market cycle risk
3
🔀
Diversified Pipeline
8–10 concurrent projects across multiple Orlando submarkets. Single-deal issues don't materially impact portfolio performance.
No single-deal concentration
4
Consistent Exits
31 of 31 completed deals resulted in profitable exits. Track record of on-time, on-budget completions through partner realtor network.
100% exit success rate
5
🔒
Non-Recourse Structure
Each deal financed independently — lender exposure limited to the property asset. No cross-collateralization. Lender is always in 1st lien position on below-market collateral.
1st Lien
Position Always
USA Capital Group