Company intelligence
EM Capital
Independent alternative investment research for alternative assets.
About EM Capital
EM Capital Management provides allocator-side diligence, monitoring, and market intelligence for private alternative investments. We help RIAs, wealth platforms, family offices, fund-of-funds, institutional LPs, investment committees, and sophisticated investors convert sponsor materials into decision-ready work product. Our team underwrites live opportunities, compares sponsors and structures, monitors allocated funds against the original thesis, prepares sponsor questions, and provides market intelligence where relevant. Deliverables include Decision Snapshots, Underwriting Memos, Comparison Memos, Monitoring Reports, Resi-Alpha market views, and pipeline development support. We are built for allocators who have opportunity flow but not enough internal capacity to underwrite every opportunity with the same rigor. Our process focuses on track record, economics, fees, liquidity, reporting, alignment, downside risk, and sponsor incentives. EM Capital is independent and allocator-side. We are not a placement agent, product distributor, or capital raiser. Work product is prepared for the allocator client, and the allocator retains final investment authority. Send one live decision. Get back a clearer, documented view. Start with one of four paths: Decision Snapshot For allocators comparing 1–4 offerings and needing a fast, normalized view. Underwriting Memo For one live deal or fund that requires deeper conviction. Comparison Memo For two serious options that need side-by-side diligence. Alternative Intelligence Suite For ongoing support across monitoring, pipeline development, comparison work, market intelligence, and Resi-Alpha access.
Verified activity
Signals from EM Capital
2 published signals
Research & Knowledge
EM Capital produced a 7.8% net IRR and 1.57x net multiple for an anonymized private SFR fund based on public filings and offering materials.
Reported by EM Capital
Capital & Finance
EM Capital notes a 5.33% entry cap, approximately 59 basis points over a 10-year Treasury at 4.74%, for an asset that re-leases every 30 days.
Reported by EM Capital