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OUR PROGRAMS

$2-20 Million

Loan Size:

Leverage:

Up to 80% LTV / 75% LTC

Rate:

Fixed Rate or Floating starting at 13%, Floating Rate starting at SOFR + 600 bps

Term:

Target 1-2 Years, Maximum of 3 Years

Prepayment:

Flexible/Yield Maintenance, Target lockout of 9-12 months

Guarantee:

Flexible- Recourse or Non-Recourse to key principals with standard bad-boy carveouts

Fees:

Origination & Exit Fees determined on deal-by-deal basis, typically 2%

Asset Class:

Income Producing commercial real estate, construction loans on a select basis 

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