OUR INVESTMENT FOUNDATION
WE CONTINUALLY SEEK MULTIFAMILY PROPERTIES
that offer growth opportunities in regions that show economic and demographic sustainability. By focusing on cost control, updating units and offering comprehensive amenities within our multifamily holdings allows us to stabilize each asset and maximize investment yield through higher rental income and tenant stability.
We team with only the most experienced property managers and real estate professionals with expertise in multifamily and residential re-positioning who share our goal of providing the most attractive and safe apartment homes on the market.
The Carolinas, Georgia, and Tennessee.
We continually research market data that support economic growth and job diversity in major markets throughout the Southeast region.
A to B Areas in Primary and Secondary Markets
A to B- level multifamily complexes
100 -200+ unit complexes built after 1990 but will consider other complexes on a case-by-case basis depending on overall investment opportunity.
Strong value-add opportunities
Stabilized tenant base at 85% or greater
Our Asset Investment Criteria:
Purchase amount: $8M to $15M USD.
Investment Term: Avg. 7 years depending on market conditions at the time of disposition or refinance.
Debt Financing 75-80%, Non-recourse.
DCR: 1.4 or greater
Minimum Investor Contribution:
Varies depending on investment structure and market conditions.
A comprehensive, multi-level approach to our acquisitions provides our investors direct access to high quality investment opportunities.
We offer a detailed overview of each investment opportunity prior to client commitment and provide continued updates on asset performance throughout the investment term.