HOW WE DO IT
OUR PROCESS
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We monitor our markets daily and leverage relationships in the industry to find properties that meet our stringent criteria and will provide strong returns for investors.
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Once under contract, we perform qualitative and quantitative due diligence–creating a business plan to increase revenue and reduce expenses.
Refinance
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Once Repositioning is complete and the property is fully occupied and stabilized, we have the property appraised and look to capitalize on the newly created value.
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This creates an opportunity to return a significant piece of investors’ capital back to them when the equity we’ve created is realized.
Reposition
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After closing, our operations and property management team begin executing the business plan to increase the Net Operating Income and force the appreciation.
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We aim to complete all rehabilitation work within the first 18 months of ownership and put all value creation strategies to work within 12 months.
Cash Flow
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Our property management team continues to oversee day to day operations at the property while investors enjoy the benefits of owning a cash flow positive asset.
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Investors receive quarterly newsletters with information on the property and market, along with their distributions of cash flow.
Disposition
- By monitoring the market and working with our broker relationships, we begin to look for the most advantageous exit of the property that will meet or exceed investor expectations.
- Potential exit strategies include sale or refinance to return investor capital, or transition property into longer-term hold to capitalize on cash flow distributions.
WE HAVE THE NUMBERS
WANT TO INVEST?
$360 mm
Portfolio Value
2,658
Units
10
Properties
Interested in Talking?
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