Investment Strategy.
An operator-led private self-storage investment platform built for permanence, precision, and partnership. Our strategy is the discipline that defines how capital is sourced, underwritten, deployed, operated, and returned.
Operator-led capital.
We are not generalists chasing fees, and we are not absentee allocators. We operate the businesses we own. Our edge comes from owning the operating cadence of every portfolio facility, applying institutional governance across a multi-fund platform, and underwriting through cycles rather than through narratives.
Permanence
We underwrite to a base case that assumes no help from rates and no help from refinancing markets. We invest with the mindset of a long-duration owner, not with the shot-clock of a traditional fund cycle.
Precision
We commit only where we have edge: a defensible sourcing channel, a proprietary operating relationship, a sector specialist on staff, and an underwriting case that survives stress without leverage assumptions.
Partnership
Limited partners are partners in the literal sense. We align carry, reporting cadence, and governance to Institutional Limited Partners Association standards, and we treat every LP relationship as a multi-decade compact.
From sourcing to realization.
Proprietary origination
Off-market sourcing through storage brokerage networks, Fund IV management-platform relationships, developer partnerships, and direct owner outreach. Approximately 80% of deal flow is sourced off-market. Broad auctions are avoided.
Multi-stage review
Every investment goes through sector-specialist screen, Investment Committee preliminary review, full operating diligence including a draft 100-day plan, and Investment Committee final approval. Commitments above threshold require a Chief Risk Officer memo and may be subject to Risk veto.
Operational integration
Every acquisition is integrated into MajorWave's revenue management platform within 60 days: dynamic pricing, unit mix optimization, climate-controlled upgrades, and occupancy ramp targets. Portfolio companies operate under an active operating rhythm managed by the platform.
Exit path
Exits are executed through sale to institutional REIT buyers, aggregation into MajorWave's Fund V Public Markets Access vehicle, portfolio recapitalization with alternative capital sources, or continued hold with capital recycling to LPs.
Multi-strategy by design.
The MajorWave platform is engineered so that ten fund strategies operate as one system. Fund I (Core Self-Storage) sources stabilized real estate exposure and premium climate-controlled product. Fund IV (Technology & Platform) delivers operating scale, third-party management, and revenue-management intelligence back to every fund. Fund V (Public Markets Access) provides a defined exit path for stabilized assets through the REIT platform and public-market vehicles. Fund VI (Self-Storage Credit) supplies balance-sheet ballast and market intelligence across the credit cycle. Operations Funds I and II supply dedicated on-property staffing and platform-wide technology, while Reserve Funds I and II hold capital for facility improvement, LP co-invest, and orderly redemption.
The combination is deliberate: the platform generates operating leverage that no single-strategy fund can replicate.
