Performance

Verified Track Record

44 years of consistent performance across market cycles. All returns audited and verified.

$1.5B+

Total Volume

500+

Deals Completed

35%

Avg Gross IRR

28%

Avg Net IRR

1.8x

Avg MOIC

<2%

Loss Ratio

Performance by Strategy

Fix & Flip

350 completed transactions

6 months avg hold

45%%

Gross IRR

38%%

Net IRR

1.4xx

MOIC

Buy & Hold

150 completed transactions

5 years avg hold

22%%

Gross IRR

18%%

Net IRR

2.2xx

MOIC

Sample Transactions

PropertyStrategyVintageTotal BasisExit ValueProfitGross IRRNet IRRMOICHold Period
Chicago Premier Portfolio (12 units)Fix & Flip2023$1,600,000$2,400,000$800,00052%44%1.5x8 months
Cleveland Value-Add (8 units)Fix & Flip2023$640,000$960,000$320,00068%58%1.5x5 months
Florida Growth Portfolio (6 units)Buy & Hold2021$1,050,000$1,575,000$525,00024%19%1.5x3 years (ongoing)
Chicago Urban Opportunity (4 units)Fix & Flip2024$500,000$820,000$320,00078%65%1.64x6 months
Cleveland Cash Flow King (10 units)Buy & Hold2022$800,000$1,120,000$320,00026%21%1.4x2 years (ongoing)

Past performance is not indicative of future results. Returns shown are representative samples from our investment history. Complete audited performance data available upon request. Net returns are after all fees and expenses.

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