Portfolio Overview
The Park Hills Portfolio represents a strategic investment in Missouri's stable multifamily market, comprising 272 units across three distinct Class B properties. Acquired in December 2021, this diversified portfolio provides stable cash flow while offering multiple value-creation opportunities.
Park Hills, Missouri offers an attractive investment environment with stable demographics, affordable housing costs, and a diverse economic base. The portfolio's multiple properties provide geographic and operational diversification within the local market.
Portfolio Composition
Brenlee Haven
48 units • Built 2007/2018 • Modern construction with recent updates
Columbia Park
88 units • Built 1995 • Well-established property with solid tenant base
Arbor Ridge
136 units • Built 2004 • Largest property in portfolio with strong fundamentals
Market Advantages
🏛️ Stable Market
Established community with consistent housing demand and limited new supply
🏭 Economic Stability
Diverse local economy providing steady employment opportunities
🎯 Portfolio Diversification
Three distinct properties reduce concentration risk and optimize performance
💰 Value-Add Potential
Multiple opportunities for operational improvements and rent optimization
Investment Strategy
Our approach to the Park Hills Portfolio leverages the benefits of portfolio diversification while implementing consistent value-add strategies across all three properties. The Class B assets provide stable foundations for strategic improvements.
Key strategic initiatives include:
- Standardized property management across the portfolio
- Strategic capital improvements tailored to each property
- Operational efficiency improvements and cost optimization
- Rent growth through enhanced resident satisfaction
- Portfolio-wide maintenance and upgrade programs
Portfolio Benefits
The three-property structure provides investors with reduced risk through diversification while maintaining operational efficiency through centralized management. Each property contributes to the overall portfolio performance while offering distinct value-add opportunities.