We focus on a few key factors when evaluating a property that we believe provide a solid foundation for our value-add repositioning strategy. Those include:
Undermanaged or inefficiently run
High vacancy rates relative to the market
Below market rents
In addition to these qualitative factors, we have developed a proprietary acquisition and transaction model to analyze and underwrite potential investments.
We consider property-specific information, local economic factors, local market factors, investment return requirements, and financing options. We also conduct a thorough risk analysis to determine if the opportunity fits with our objectives. Every investment is underpinned by our on-going study of the demographic and macroeconomic trends that support our multifamily investment strategy.
Due to the flexible nature of our investor base, we have the ability to tailor our investments to best suit the sellers and lenders with which we work. Our deep-rooted operating experience allows the team at Rebel Capital Group to respond quickly and thoughtfully to investment opportunities. We pride ourselves in our ability to structure deals to maximize value for all stakeholders while staying disciplined to our core investment principles.