CRITERIA

Our Investment Criteria

At Hazelwood Capital Growth, our approach to selecting assets for acquisition is thorough and strategic. We focus on creating sustainable value and maximizing returns through a carefully structured process. Join us in our journey to transform real estate into thriving, sustainable communities.

Here’s a brief overview of our criteria and the steps involved in our asset selection process:

Market Selection

Growth Potential:

We target markets with strong indicators of growth such as population increase, employment opportunities, and economic stability.

Demand for Housing

Key factors include areas with a high demand for rental properties, particularly those experiencing shortages in housing.

Community Impact

Preference for markets where our investments can positively influence community development and sustainability.

Value-Add Strategy

Identifying Opportunities

We look for properties that stand to benefit significantly from enhancements, whether through physical upgrades or improved management.

Enhancing Value

Our strategy focuses on increasing the property’s income stream by adding amenities, renovating units, and optimizing operational efficiencies.

Rigorous Underwriting

Financial Analysis

Every potential investment undergoes a thorough financial analysis to ensure it meets our strict criteria for cash flow, cost estimates, and projected returns.

Risk Assessment

We assess all potential risks associated with the property and the market, preparing strategies to mitigate these risks effectively.

Due Diligence

Comprehensive Evaluation

Before finalizing any investment, we conduct an exhaustive review of the property’s legal standings, structural integrity, and compliance with relevant regulations.

Market Analysis

This includes evaluating local market trends, demographic data, and competitor analysis to ensure the property’s competitive edge.

Asset Management

Proactive Management

Our team actively manages each property focusing on tenant satisfaction, cost management, and regular maintenance to preserve and enhance the asset’s value.

Performance Monitoring

Regular reviews and reporting ensure that the asset performs as expected and adjustments are made promptly.

Exit Strategy

Maximizing Returns

We plan the exit strategy from the outset, considering the best timing and methods to sell or refinance the property to maximize returns.

Market Conditions

Regular assessment of market conditions to decide the optimal time for exit, ensuring the best possible outcome for our investors.