Real Estate Investments
Multifamily
Our Investment Strategy
Our value-add strategy targets class B and C multifamily properties in suburban markets that present an opportunity to improve the property value through strategic renovations, hands-on management, adaptive repositioning, and rebranding.
With a strategic and tailored investment approach, multifamily properties can offer an uncommon combination of downside protection and upside potential.
Our Investment
Process
We assess market conditions, identify opportunities, and aim to execute strategies to enhance properties' operational income and value for superior returns.
Acquisition Criteria
1
Acquire
- Source assets that present a value-add opportunity.
- Leverage broker & owner relationships to acquire off-market assets.
- Data-driven & disciplined underwriting approach.
2
Improve
- Improve & rebrand the building exterior.
- Standardized interior improvements to reduce costs.
- Leverage technology to increase operational efficiencies.
3
Reposition
- Implement a targeted marketing plan to increase market presence.
- Aggressively mark rents to market.
- Reposition to attract a quality tenant base.
4
Increase NOI
- As leases roll, increase rents.
- Increase profitability & maximize returns by streamlining processes & utilizing technology.
- Increase operational efficiency and tenant satisfaction.
5
Exit
- 5 – 7 year holding period.
- Distribute cash flow until the opportune time to exit.
- Improved assets are positioned to be priced at a lower cap rate.
Fully Integrated Platform
Asset
Management
Management
Real Estate Brokerage
Property Management
Construction Management
Industry-Leading Technology
Owners. Brokers. Investors
Connect with us to discuss the sale of an asset or how you can partner or invest with Collektion Capital.
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