Our Strategy

We are actively seeking to acquire value-add and opportunistic multifamily assets in primary, secondary, and tertiary emerging markets nationwide, with a population of 100,000 or more and consistent growth for the last ten years.

Investment Criteria

Transaction Size

$2 million to $50 million
30 to 300 units

Asset Type

B and C Multifamily and Student Housing in A to C locations

Ratios and Exit

Capable of achieving 7-8% cash on cash return at takeover in primary markets, or 8-10% in secondary or emerging markets

A debt coverage ratio of 1.5

3-10 year holds

Target Markets

Arizona, Texas, Florida, Georgia, North Carolina, South Carolina, Kentucky, and Tennessee

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