We offer institutional-quality real estate solutions to help you meet your goals.
We have a niche focus on multifamily real estate rooted in decades of “boots on the ground” experience. Our alternative investment offerings can:
- amplify your clients’ diversification;
- strengthen their passive income streams;
- minimize portfolio volatility;
- and reduce correlation to the broader stock market.
In 2019, Origin was ranked as a most consistent top-performing private real estate fund manager.
Experience and Alignment
Our diverse team has 60+ years of experience delivering successful private real estate investments. We believe our investments are the best place for not only our investors’ capital, but also our own.
Proven Track Record
We have a niche focus and only invest in assets that we believe present outsized risk-adjusted return opportunity.
Personal capital invested by principals
Average equity multiple*
*Gross equity multiple weighted across 21 realized deals since 2014
Creating Value for Advisors
Building Lasting Partnerships
We foster partnerships that stand the test of time. That’s why 70% of our partners have made additional investments in subsequent offerings.
Educating Investors is In Our DNA
We have a curriculum of 300+ pieces of educational content that illustrates how private real estate investing complements traditional portfolio strategies, to help advisors seek a competitive edge.
Offering End-to-End Efficiency
Our online advisor portal provides ease of access to our due diligence center, streamlined subscription processing, and on-demand performance reporting. Our investments are approved on all major third-party custodial platforms.
The multifamily real estate asset class provides stable, non-correlated returns to help your clients achieve optimal portfolio diversification. Multifamily properties have consistently demonstrated lower risk and higher returns than other property types and have a low correlation to equities, bonds, and other alternative asset classes.
Bubble sizes represent the sharpe-ratio for each property type—a measure of excess return, above the risk-free rate, per unit of risk for a given property type.
*REPRESENTS THE AVERAGE ANNUAL RISK-ADJUSTED RETURN OVER EACH 10-YEAR PERIOD FROM 1990 TO 2020. DATA SOURCE: NATIONAL COUNCIL OF REAL ESTATE INVESTMENT FIDUCIARIES (NCREIF).
Explore Our Open Funds
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Dive Into the Deals
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Do Your Due Diligence
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