A disciplined, diversified approach to Canadian real estate private equity — matching investor capital to the right opportunity at the right time horizon.
Gridpoint Capital employs a three-bucket investment philosophy to deliver risk-appropriate returns across different time horizons. Each bucket is designed to serve a specific investor profile and capital deployment objective.
Transparency and reliability are core to our investor relationships. All investments are independently valued annually and reported to investors through our Fund Performance Annual Report.
We assess recent transactions involving comparable land parcels in the same region, adjusting for size, location, zoning status, and proximity to infrastructure and growth corridors.
For income-producing and development assets, we model the cashflow potential of developed properties in the investment's vicinity to establish a forward-looking intrinsic value.
We incorporate the prevailing market premium for land in growth corridors — particularly industrial and commercial lands adjacent to major transportation infrastructure and urban expansion zones.
Gridpoint Capital seeks long-term partnerships with sophisticated investors who understand the risk and reward profile of private real estate equity.
We do not accept investors where our contribution would exceed 15% of their investment portfolio, ensuring our investors maintain appropriate diversification at all times.
We partner with high-net-worth individuals and institutional investors actively engaged in private equity investments, typically maintaining portfolios in excess of $500 million.
Our investment horizons range from 1 to 10 years. Investors should be prepared for the illiquid nature of private real estate equity and plan capital accordingly.
We assume all investors have independently evaluated the merits and risks of real estate private equity investments and have consulted appropriate legal and financial advisors.