Opus Riviera Capital

Cadre is now a Willow Wealth company

Enhance your portfolio with an extensive array of private market investments.

Forward thinking.
Investor focused.

OPUS is a next generation commercial real estate investment manager with the fundamental belief that a single-asset, value-investing approach in the underserved middle market can lead to outperformance. We invest across asset classes, risk profiles, and markets, and strive to deliver compelling risk-adjusted returns for our clients, which include endowments, foundations, wealth managers, family offices, and individual investors.

$4.3bn

Total Transaction Value1

$4.3bn

Total Transaction Value1

$4.3bn

Total Transaction Value1

$4.3bn

Total Transaction Value1

Our Experience

With over 180 years of collective experience investing over $140 billion across multiple economic cycles, our team works across the investment lifecycle to create value for our clients.

Our Investment Philosophy

We combine a data-driven approach to market and sector selection with a focus on single-asset value investing in the underserved middle market2. We seek to take advantage of operational, capital markets and capital expenditure inefficiencies. We focus on preserving and growing investor capital through value-add business plans, careful risk mitigation, moderate use of leverage, and thoughtful portfolio construction.

Our Investment Process

We employ a disciplined, patient, and rigorous approach to investing, with the goal of adding value throughout all stages of ownership. We seek to source differentiated, often off-market, opportunities, followed by extensive underwriting, diligence, & structuring processes – we typically invest in 2% of all investment opportunities reviewed and less than 1% of opportunities sourced. Following investment, we pursue value creation through hands-on, active asset management strategies.

Innovative Secondary Market3

Cadre has developed an innovative secondary market that offers investors the opportunity to sell select investments on a quarterly basis.

Secondary liquidity can be achieved prior to the end of the asset or fund’s hold period, providing investors with a unique feature that provides optimal financial flexibility.

3 ways to invest.

Invest in Cadre’s Flagship Fund Offering

Make a single investment in a diversified portfolio of assets that Cadre constructs for investors across high-growth markets.

Deal-by-Deal
Co-Investment

Invest in individual real estate investments on Cadre’s platform.

Secondary
Market

Pursue potential liquidity2 by purchasing or selling interests of approved private real estate assets or funds on Cadre’s secondary platform.

News and Insights

Commercial real estate insights from Cadre can help you learn more about this essential asset class and become a more informed private equity investor.

‍1 Data as of December 31, 2023. Includes all investments made by investment vehicles advised, managed or sponsored by CCV (i) from inception until the formation of CCV’s Investment Committee on March 31, 2016 and (ii) from March 31, 2016 through the measurement date, which investments were voted on by CCV’s Investment Committee.

2 Cadre’s definition of mid-cap or the middle-market includes transactions in approximately the $50-$150mm total capitalization range, or assets too small for large asset managers and too large for smaller private buyers.

3 Investments offered by Cadre are illiquid and there is never any guarantee that you will be able to exit your investments on the Secondary Market or at what price an exit (if any) will be achieved.