Our investment methodology is how we navigate the multi-family property market. At Nova King Investments, we employ a data-driven approach and deep market analysis to identify properties that promise long-term growth and immediate returns. We focus on acquiring assets poised for success—those with high occupancy rates and the potential for value-add through strategic management and operational efficiencies. By leveraging our extensive network and industry insights, we meticulously manage each property to optimize returns for our investors.
Why Multi-Family Properties:
Multi-family properties are a pillar of investment stability, offering diversification and scale. These properties tend to be resilient to economic fluctuations, maintaining a consistent demand due to the fundamental need for housing. Nova King Investments specializes in this asset class because it balances cash flow and equity growth, driven by demographic trends and a growing preference for rental housing. Our targeted approach in this sector is designed to capitalize on these dynamics, ensuring reliable and scalable investment performance.
Discover the potential of multi-family real estate with Nova King Investments. Contact us to discover how our strategic investments can enhance your portfolio and align with your financial aspirations.
Investment Criteria
We focus on properties ranging from $2 million to $50 million.
Our sweet spot is C-B+ multi-family properties, particularly those with 85+% occupancy, capable of securing long-term debt.
50 – 250 Units
Potential for value enhancement through strategic management and/or renovations
We aim for a 7-8% cash-on-cash return at takeover in primary markets or 8-10% in secondary or emerging markets, maintaining a debt coverage ratio 1.5.
Our typical hold period for assets spans 3-7 years.
We've set our sights on primary and emerging markets nationwide, allowing us to capitalize on diverse opportunities.