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1 September 2017 | 2 replies
I try to secure motivated sellers who own properties free and clear, and my exit strategy is Assignment of Contract.
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1 September 2017 | 1 reply
We are actively looking and I will be glad to discuss our investing strategy.
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2 September 2017 | 4 replies
My niche is small multi-family properties by now, and my strategy is to buy and hold.
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18 September 2017 | 87 replies
I'm not sure yet, but there are a million strategies out there and this is mine for now.
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1 September 2017 | 16 replies
the second example does not have an Occurrence.Insuring a $50k property for $500,000 is not a good strategy.
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6 September 2017 | 11 replies
Your "strategy" (aka common sense) of saving up capital is very smart, do whatever it takes to save as much as you can if you are serious about investing.
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16 August 2018 | 7 replies
Or should we just move to our second exit strategy - refinance and rent?
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2 September 2017 | 6 replies
We bought it at a 7+ cap so sale price was essentially price adjusted for the assumption.I would run two scenarios get the actually yield maintenance $ amount and add it to the purchase price and see what your model looks like after placing new debt and what your model looks like if the lender will give you a supplemental.What's your exit strategy and timeline?
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3 September 2017 | 11 replies
I want to use the BRRRR strategy to develop my portfolio, but I need to expand my knowledge of the market before can dive in with my first property.I look forward to meeting and working with the BP community.
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1 September 2017 | 3 replies
I have no interest in pursuing it, but am highly curious if there are strategies that may make this worthwhile.