Investors can typically expect to commit their capital to an 18 month to 5 year hold period before we employ an exit strategy, such as a refinance or sale. This time period varies based on the specific business plan being executed for each property. We the sponsors will always attempt to remain consistent with the initial projection and will execute the strategy that results in the greatest returns for all investors.
Every multifamily investment is unique and we typically strive to achieve a double-digit annual return. This comes from cash-flow, forced appreciation from adding value, and the profits from the disposition of the property. In addition, we model a 12%-15% IRR (Internal Rate of Return) over the investment's duration.
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