We maintain rigorous criteria to identify opportunities that align with our value-creation strategy and risk management framework.
Unit Apartments 32+
We acquire scale to reduce risk, stabilize income, and operate with professional, on-site management.
Target Hold Period
A long-term strategy designed to ride market cycles and execute value-creation initiatives.
Average Cash on Cash
Consistent annual income distributions, paid from operating performance, not speculation.
Internal Rate of Return
Focused on attractive, risk-adjusted total returns over the life of the investment.
Equity Multiple
A clear measure of total capital returned to investors, including cash flow and exit proceeds.
Target returns are projections based on underwriting assumptions and are not guaranteed. This material is for informational purposes only and does not constitute an offer to sell or a solicitation to buy securities. Investment opportunities are offered only to qualified investors after a suitability review.