Asset ManagerRIA · CRD 297109SEC-Registered

Updated:

Limekiln Real Estate Investment Management

Limekiln Real Estate Investment Management is an asset manager with a focus on real estate, particularly in the United States.

Limekiln Real Estate Investment Management

Limekiln Real Estate Investment Management is an asset manager with a focus on real estate, particularly in the United States. The firm's strategy centers on targeting value-add opportunities in the multifamily and industrial sectors, where it seeks to generate returns through operational enhancements and strategic capital improvements. This approach positions the firm as a specialized player in the middle-market real estate space. The firm's investment strategy is built around acquiring and improving properties with potential for increased cash flow. Limekiln's focus on the US market includes a concentration on Sun Belt markets and other high-growth regions, where it deploys capital through a combination of equity and structured debt. The firm's portfolio is managed with an emphasis on strong asset-level performance and risk mitigation. Limekiln maintains a team of real estate professionals with experience in acquisitions, asset management, and property operations. The firm's structure is designed to align with long-term institutional capital, and it typically invests alongside its partners. There are no publicly disclosed recent major operational events or expansions in the last 24 months. The firm's structural differentiator is its specialization in value-add real estate within the middle market, avoiding larger, more competitive core assets. This niche focus allows Limekiln to capitalize on market inefficiencies and execute hands-on strategies that larger institutional investors often overlook.

General information

Firm type

Asset Manager

Year founded

AUM

Undisclosed

Location

Region

Country

City

Corporate office

Sector focus

Real Estate

Frequently asked questions

Who runs investment decisions at Limekiln Real Estate Investment Management?

Specific principals or investment committee members are not publicly disclosed. The firm operates with a professional team of real estate investment professionals, but the exact leadership structure is not detailed in public sources.

How does Limekiln source its deal flow?

Limekiln sources deals through its network of brokers, operators, and direct relationships in target markets. The firm's focus on value-add opportunities in the middle market allows it to identify properties where operational improvements can unlock potential, often off-market or through smaller transactions.

Does Limekiln participate in fund commitments or only direct deals?

Limekiln primarily manages direct real estate investments, acquiring and operating individual properties. The firm may also structure joint ventures or co-investments with institutional partners, but its core activity is direct property ownership and management.

What investment stages does Limekiln typically target?

Limekiln targets value-add and opportunistic stages of real estate investment, focusing on assets that require operational improvements or repositioning. The firm does not typically invest in ground-up development as a primary strategy.

Which sectors does Limekiln explicitly focus on?

Limekiln's publicly stated focus is on the US multifamily and industrial real estate sectors. These asset classes are the core of its investment strategy, with an emphasis on properties in high-growth markets across the Sun Belt.

How is Limekiln structured as an investment firm?

The firm operates as an asset manager with a specialized real estate focus. It is structured to manage capital on behalf of institutional investors, using a team-based approach to acquisitions, asset management, and dispositions. Its specific legal structure (e.g., RIA, LP, etc.) is not publicly disclosed.

Where does Limekiln's underlying wealth come from?

The firm's capital sources are not publicly disclosed. Given its institutional nature, Limekiln likely manages capital from pension funds, endowments, insurance companies, and other large allocators, but no specific backers are named in public records.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

Need institutional-grade insight on family offices?

Altss delivers:

Principals with verified direct contactsAllocation history by asset classOSINT-derived deal signals
Book a demo

Prefer a guided tour?

We’ll walk you through:

Interactive funding timelinesCustom mandate & allocation filters
Book a demo