This is our minimum deal criteria for multifamily asset acquisitions. Some variables may change with each specific opportunity, but our investor return goals do not.
For more detailed information please contact us.
Basic Asset Description
Class: B/C
Units: 20-120
Positive Cash Flow from day 1
Value Add
Markets: Texas (We focus on smaller markets outside of the major metropolitan areas)
Oklahoma, Georgia, Arizona, Utah, and Carolina's
Minimum Investor Return Goals
We focus on cash flow producing assets, not only as a hedge against inflation but also to protect our investors capital should the market cycle not be optimal for disposition.
IRR: 15%
Equity Multiple: 1.6x-1.9x
Preferred Returns: 6%
CoC: 10%
Hold period: We base our underwriting on both a 5-year and 10-year exit. Both the market cycle and asset performance will factor into our timing of dispositions.
*This is not a promise of return, merely our investing goals. With any investment there is a risk of loss.
Phoenix Group Holdings, LLC
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