Our Story
Hyde Capital manages a diversified portfolio of structured investments in alternative credit, with primary emphasis upon private debt secured against real estate in prime markets throughout the United States. Our platform applies a credit intensive approach centered in opportunistic and value-add special situations in order to capitalize on market inefficiencies.
We believe successful real estate investing across cycles requires disciplined active portfolio management emphasizing both principal preservation and capital growth. We deploy our capital in local markets via diligent underwriting to identify opportunities, establish granular asset-level knowledge, and structure optimal financing solutions for transaction sponsors.
Our investment strategy seeks to generate superior uncorrelated risk-adjusted returns across market cycles over the long-term. While our philosophy remains consistent its execution is flexible in application, allowing capital allocation to shift among asset classes and geographies based upon prevailing opportunities.