At the core of our business model, our primary focus is to identify potential cash flowing multi-family assets with all the right fixable problems and take extreme care of our investors capital.
We partner with our Investor's Capital and Bank Debt to arrive at a capital stack that meets our conservative underwriting.
Utilizing Operations, we formulate a plan to increase occupancy and rent growth by eliminating deferred maintenance and bringing the property to its peak condition. With our 5 year time horizon, this allows us to maximize our profits and sell for top dollar.
As a seasoned real estate investor, my team and I have thousands of hours mastering apartment investing. We train our team to pay attention to the little things at the property level that makes the most impact.
We acquire multifamily assets in prime locations by extensively underwriting 95% of all assets in the markets we follow. This gives us great deal flow, allowing us to go after deals that meet our criteria. Using conservative underwriting and appreciation assumptions, we expect these opportunities to increase in the coming years.
Our strategy is to patiently acquire, manage and operate multi-family assets which generate high yields and passive cash flows. We selectively position ourselves to take advantage of opportunities on the horizon. In addition, we only target strong employment centers with growth and stability trends.