Investment Strategies
How We Build Wealth Through Real Estate
Three proven strategies. One disciplined approach. Every acquisition is evaluated against strict criteria for cash flow, equity, and long-term return.
Buy & Hold
The foundation of our portfolio. We acquire residential and small multifamily properties in high-demand rental markets, hold them for long-term appreciation, and generate consistent monthly cash flow. Every property is underwritten to cash flow from day one.
Best For
Investors seeking passive income, portfolio diversification, and long-term wealth building.
How It Works
Identify markets with strong rent-to-price ratios and population growth
Acquire properties at or below market value through direct-to-seller outreach
Stabilize with quality tenants and professional property management
Refinance to pull equity and redeploy capital into the next acquisition
Fix & Flip
We identify distressed properties with strong after-repair value (ARV), execute targeted renovations, and sell at a premium. Speed and precision are everything — we move fast from acquisition to close.
Best For
Investors looking for active returns and willing to manage a project-based investment cycle.
How It Works
Source off-market distressed properties through direct mail and agent networks
Conduct thorough due diligence: ARV analysis, scope of work, and contractor bids
Execute renovation on time and on budget with vetted contractors
List and sell at retail, targeting a 6–9 month total project timeline
BRRRR Method
The BRRRR method combines the value-add upside of a fix-and-flip with the long-term income of a buy-and-hold. We acquire distressed rentals, force appreciation through renovation, stabilize with tenants, then refinance to recover capital — and do it again.
Best For
Investors who want to scale a portfolio without continuously injecting new capital into every deal.
How It Works
Buy a distressed property significantly below market value
Rehab to increase value and attract quality tenants
Rent to stabilize income and qualify for a cash-out refinance
Refinance to pull out 70–80% of ARV and redeploy into the next deal
At a Glance
Three Strategies, One Portfolio
Buy & Hold
Long-term cash flow and equity accumulation
Fix & Flip
Value-add renovation for short-term profit
BRRRR Method
Buy, Rehab, Rent, Refinance, Repeat
Philosophy
Our Investment Principles
Data Over Emotion
Every deal is evaluated on the numbers. We don't fall in love with properties — we fall in love with returns.
Conservative Underwriting
We stress-test every deal with worst-case vacancy, repair, and financing assumptions before committing capital.
Market Diversification
We operate across 12+ markets to reduce concentration risk and capture opportunity wherever it exists.
Relationship-Driven Sourcing
The best deals never hit the MLS. Our pipeline is built on direct seller relationships and trusted referral networks.
Want to Learn These Strategies Firsthand?
Our 1-on-1 mentorship program teaches you how to evaluate, acquire, and execute using the same frameworks we use on every deal.