INVESTMENT STRATEGY

Our success is built on a disciplined, purpose-driven approach to real estate investment and asset management. We adhere to clearly defined underwriting, acquisition, and renovation standards that guide every decision we make, ensuring consistency, accountability, and risk-adjusted performance. By applying precise investment and renovation criteria, we are able to identify and acquire multifamily properties with strong fundamentals, operational inefficiencies, and meaningful upside potential. Our strategy focuses not only on delivering sustainable long-term growth and attractive returns, but also on enhancing the quality of housing and creating positive, lasting impact within the communities we serve.


  • Multifamily Apartments
    Units
    32+ Units
    Property Age
    1975 & Newer
    Asset Quality
    Class B to C
    Target Markets

  • Midwest, Southwest, Southeast
    Location Type
    A or B Class Trade Areas
    Economic Anchors
    Hospital, Big Business, Mall
    Growth Pattern
    Strong Growth & Path of Progress
    Financial Targets

  • 10%+ (Stabilized)
    Target CAP
    7%+ Capitalization
    Cash-on-Cash
    8%+ Return
    Total ROI
    10%+ on Investment
    Investment Strategy

  • Preferably 90% +
    Opportunity
    Value-Add Preferred
    Cost Basis
    25% Below Stabilized Value
    Hold Period
    7–10+ Years