Our Strategy
Investment Criteria
Asset Type
- B and C properties in B and C markets
- 90% occupied assets
- Well maintained with value-add potential
Transaction Size
- $2 million to $50 million
Returns
- Over 8% average annual cash on cash return
- Over 20% average annual return
- 3-10 year holds
Target Markets
- Southeastern United States
Contrary to single home assets, the value of a multifamily property is primarily determined by the income that it generates through rents.
As a result, to create wealth and deliver first-class returns to our investors, our strategy relies on value-add programs: acquiring, renovating, raising rents, holding and distributing cash flow, and selling with massive upside.
This blueprint only functions in emerging markets: in cities that are seeing demographic and business growth. That is why before looking at properties, we conduct a thorough market research.
Once we have identified a market where the population is becoming larger and wealthier, we relentlessly look for assets that are well maintained but ripe for a value-add program.
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