At Maynard Capital Group, our mission is to empower accredited investors with diversified real estate syndications that deliver superior returns and capital preservation. We achieve this through a strategic portfolio spanning multifamily, NNN retail, industrial, hotels, and alternative assets like agricultural and mining land, leveraging market opportunities to build lasting wealth for our partners.
We specialize in real estate syndications, pooling investor capital to unlock large-scale opportunities unattainable by individual investors. Our disciplined approach includes:
Market Analysis: Identifying high-potential markets for multifamily (5.4% vacancy, CBRE 2025), NNN retail (6-8% cap rates, JLL 2025), industrial (12% demand growth, Cushman & Wakefield 2024), hotels (4.5% RevPAR growth, STR 2025), and alternative investments (7% land value growth, USDA 2024).
Value Creation: Enhancing asset performance through operational improvements and strategic management.
Risk Management: Prioritizing capital protection with rigorous due diligence and diversified investments.
Our core mission of protecting our investment partners’ capital begins with our sole focus on multifamily properties. The firm’s strategy focuses on improving Class B & C apartment communities in secondary and tertiary markets nationwide. Historically, multifamily has been the least volatile real estate asset class during downturns while still offering strong upside potential during upturns. Within multifamily, Class B & C provides one of the most attractive investment opportunities due to the imbalance between the strong and growing demand and limited new supply of these units.
©2024 Maynard Capital Group. All Rights Reserved.
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©2024 Maynard Capital Group. All Rights Reserved.
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