Formerly Known As
Pointe Vista
Units
160
Disposition Date
05-Apr-2022
Hold Period
14 Months
Sale Price
$42M, $262.5K/unit
Actual Equity Multiple
2.45x
Actual Internal Rate of Return
108.6%
Acquisition Date
01-Jan-2021
Purchase Price
$24.3M
Invested Capital
$9.18M
Loan
10-Yr Non-Recourse Agency
Deal Structure
506(B) Syndication
Unit Mix
107 1B | 33 2B | 20 3B
Projected Hold
2–5 Years