The management team of Corridor Funding has a five year history of generating an exceptional risk adjusted return and returning yield to their investors. Through the ups and downs in the economy, no investor in any of our family of funds have ever lost principal or had their monthly interest checks arrive late.
Our management team has developed expertise in all of the core competencies of deploying investor’s capital into stable collateral and with borrowers that have a track record of managing projects that extract value for both their businesses and our investors. Our committed underwriting team and asset management leadership carefully follows the progress and development of every project where capital is loaned, and our senior management and finance team carefully follows the fundamentals that are vital to creating an environment where all stakeholders succeed.
The company is very disciplined in the use of their proprietary model that incorporates current migration patterns, job growth, and market rental and absorption in every market they lend in, and the use of various leading indicators have enabled the company to avoid losses to investor income and interest income receivable.
Our company approach has always been to deploy capital with borrowers of good moral character and with those that are excited to add value that translates to their communities. Likewise Corridor Funding wants to see all of our client family succeed and we have remained true in our quest not to take unreasonable risks for the possibility of achieving a higher return. Principal preservation and consistent returns have remained our focus and we are proud to have achieved both of these objectives thanks to our employee committment, client work ethic, and investor confidence.