FCP has a balanced approach to investing
with an emphasis on
providing predictable,
sustainable cash-flow
through any cycle,
best exemplified by
its focus on acquisitions
of moderate income
multi-family assets.

Since 1999, FCP has achieved superior risk-adjusted returns as a value-add investor and operator focused on the residential and commercial sectors. FCP has a balanced approach to investing with an emphasis on predictable, sustainable cash flow. We generate NOI growth primarily by strategically repositioning properties through capital improvements and active asset management. FCP is currently managing five funds representing $3.1 billion in assets.