This is the beginning of our investment lifecycle in which viable assets are located through our various network of professional associates, these assets are then screened through our tested investment parameters. We analyze the value-add attributes that the property possesses that will put us in a good profitable forecast.
We are particular about due-diligence of the particular property under analysis for investment. Every checklist of due diligence is adopted by well-trained professionals, some of our checklist range from:
physical inspection of the property, unit walkthrough, lease audit, financial statement review and so much more. This helps us have a first-hand information about the condition of the property.
Once the decision is made to proceed with purchasing the property, various steps are followed to close on it, like negotiation of terms and agreement, loan qualification.
Then the property take over by the group management team goes into effect.
An effective and efficient management team manages the property. They are focused on onsite management of property, implementing value creation, good cash flow disbursement. So many other tools are implemented to ensure capital preservation and appreciation at the time of sale. Periodic update via webinar with our investors on financial statement and asset performance report is done.
Our disposition strategy is executed after a time period when market indicators are favorable and profitable. During this process we get sales brokers involve who market the property, a buyer is selected and we proceed to negotiate and close. Final distribution of equity gain is done with investors.
However, within the necessary agreements we also allow investors who will want to continue growing their passive income to re-invest with us in our next investment which may be 1031 exchange to a higher value asset.