Acquisition and Underwriting
We identify multi-family income properties in the Mid-Atlantic region, model cash-flow projections and refinance timing, visit properties, negotiate contracts, and secure financing.
We handle the operating lifecycle so qualified investors can review specific-asset ownership with clear information about structure, management, and reporting.
Each service is included in the management relationship.
We identify multi-family income properties in the Mid-Atlantic region, model cash-flow projections and refinance timing, visit properties, negotiate contracts, and secure financing.
Each property is set up as a separate LLC. Investors participate as members with equity proportional to their contribution. Lambeth Investments serves as managing member. Formation documents, operating agreements, and closing coordination are handled by the founding team.
Leasing, tenant relations, maintenance coordination, and vendor management are handled in-house for every property in the portfolio. We do not outsource property management to third parties.
Investors receive financial reports on property performance. K-1s are issued annually for tax purposes. Distribution timing is governed by the operating agreement for each property LLC.
When the property and financing conditions support it, the strategy may include a cash-out refinance after a multi-year operating period. Refinance proceeds, if available, are distributed under the property LLC's operating agreement.
Returned capital from refinancing is available for reinvestment into the next acquisition, compounding portfolio value across successive refinance cycles.
Start with a conversation about your investment goals and our current pipeline.