

CANNIZZARO CAPITAL
Cannizzaro Capital, LLC is a real estate investment firm that acquires and improves real estate assets, while managing downside risk, with the goal of attaining premium returns for our investors. We have been in the real estate business for over 14 years, managing and investing around the country in different asset classes, including; multifamily, net lease, and office assets. Our diverse experience and range of contacts throughout the real estate industry allow us to put together the best possible deals for our investors.
EVALUATE & CLOSE
From the onset of each transaction, we closely evaluate the market and underwrite the deal from best case to worst case scenarios. We then work closely with property managers, project managers, contractors and inspectors to refine our game plan and make sure we have accurately accounted and budgeted for our improvements and any potential surprises. We simultaneously work with our investors and lenders to ensure a quick and seamless close and ensure the best financing options for the given project.
REPOSITION THE ASSET
We move quickly to execute on our pre-established game plan so we can stabilize the asset in an efficient manner. This includes improving curb appeal, cosmetic interior renovations, fixing deferred maintenance, capital improvements and re-tenanting or moving tenants to improved units. We work closely with our property managers to find ways to reduce expenses and create new revenue streams which maximize the cash flow and the value of the asset.
MANAGEMENT
We believe our role as an asset manager requires us to not only see the project from 10,000 but also to pay close attention to the details and work closely with our property managers and vendors. We keep a close eye on all aspects of the project from the start to finish so that our properties remain top performing assets in the market place and carry the highest possible valuations because of the ongoing care and detail we commit with each property.
EXIT
Our exit strategy is part of our game plan from the first day of due diligence. We project rents, market trends, interest rates, cap rates and overall economic conditions to determine our exit. These projections help us determine and balance realizing immediate gains, with our ultimate goal of always providing the best possible returns for our investors while minimizing downside risk. We stick to our strategy, but are prepared to deal with unforeseeable circumstances in order to achieve our objectives.