Investment Strategy
Our core investment strategy is to identify B and C-class value-add and stabilized multifamily properties that provide predictable risk-adjusted returns for our investors.
We identify promising metropolitan statistical areas (MSA) with strong population growth, job growth, employer diversity, and overall economic stability which allow us to shield investor capital from economic downturns.
Upon acquiring these properties, we effectively identify and eliminate inefficiencies while capitalizing on opportunities to add value and increase net operating income. Our goal is to produce consistent returns for our equity investors.