Our Strategy
- Our primary goal is to earn an annual Rate of Return on our investment far greater than what could be earned in a Bank instrument, while “minimizing our Exposure/Risk” to the fullest extent possible!
- We look to estimate a mass Builder’s Replacement Cost on a worst case scenario & then negotiate a mass purchase price “at or below this level.”
- We buy New Homes only, in order to avoid the repair business as long as possible! We want to focus on the Risk-Return side of Real Estate investing and not become re-building specialists with substantial added exposures/costs.
- We buy properties in several different subdivisions in several different areas of the Country in order to further spread the risk.
- Our Group is looking for Homes priced at a level where the average middle class family could afford to Rent or Buy! This gives us access to the greatest market segment.
- We look to generate (for our investors) a Return on Investment of 50%-100% annually on an expected investment holding timeframe of 4-5 years.
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