Ground Up Dev Capital LP

GUD Capital LP

Institutional Real Estate Equity Fund

Targeting preferred equity and joint venture investments in ground-up residential and mixed-use developments, designed with the aim of delivering risk-adjusted returns through disciplined underwriting.

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Equity That Builds Long-Term Value

Ground Up Dev Capital LP provides institutional investors access to diversified real estate development opportunities across the Sunbelt. With a ~$150M equity target and ~$750M+ gross development value, our vertically integrated platform is designed with the goal of delivering cost certainty, accelerated project delivery, and attractive risk-adjusted returns.

Fund Highlights

Fund Highlight

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~$150M Equity Fund

Leverages into ~$750M+ gross development value.

Target IRR ~30%+

We aim for attractive returns through disciplined development.

8% Preferred Return

LPs receive preferred distributions before GP promote.

9 Active Projects

Strategic deployment across Sunbelt growth markets.

Investment Strategy

Our strategy focuses on working toward capital preservation and growth through disciplined project selection, diversified market exposure. Each investment is evaluated for strong demand, limited supply, and clear exit strategies.

ESG & Sustainability Focus

Every Capital LP project is designed for long-term sustainability, integrating clean energy, efficiency, and environmental stewardship into every phase of development.

Solar-Ready Infrastructure

All projects designed for renewable energy integration

EV Charging Access

Electric vehicle charging stations at every property

Nature Trails & Open Space

Preservation of natural landscapes and community areas

Sustainable Materials

Stormwater retention and energy-efficient construction

Integrated Real Estate Investing Made Simple.

Risk Management Framework

We apply institutional-grade underwriting and oversight to safeguard investor capital through every project stage.

Fixed-price construction contracts
Independent quarterly valuations
Diversified market exposure

Investor Alignment

The fund's structure prioritizes investor capital and performance-based returns.

Term Detail
Fund Size ~$150M
Preferred Return 8%
Target IRR ~30%+
Fund Horizon ~4–5 years
Structure 80/20 split to investor into sponsored deal

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