With over a decade of proven success, our meticulously constructed portfolios showcase our ability to identify, develop, and manage high-quality real estate investments across diverse geographical and capital market environments. Our strategic approach has consistently delivered above-market returns, solidifying our reputation as industry leaders. From groundbreaking developments in burgeoning neighborhoods to the strategic acquisition of assets poised for growth, every project highlights our expertise and dedication to achieving outstanding results for our investors.

Our journey is marked by a series of strategic decisions and projects that have benefited both our investors and the communities we serve.

At Bridge Tower, our achievements speak volumes, reflecting a legacy of excellence and a future of continued growth and success. Please see a few highlights below and contact our team for more information!

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Deployed in Real Estate since 2013
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BTR Case Study | Charlotte, NC

INVESTMENT HIGHLIGHTS

  • In 2019, Bridge Tower completed a BTR community consisting of 118 homes in a high growth area just outside of Charlotte, NC.
  • The property is located ~10 miles northeast of Downtown Charlotte and ~20 miles southeast of Lake Norman, making it a great location for commuters and young families.
  • Bridge Tower was able to utilize its vertically integrated construction, leasing and property management teams to deliver a 2.69x equity return multiple and 44% equity IRR over a 3-year hold period.

2019

Purchase Date

2022

Sale Date

44%

Equity IRR

2.69x

Equity Multiple

2019

Purchase Date

2021

Sale Date

41.9%

Equity IRR

2.74x

Equity Multiple

SFR Case Study | DALLAS, TX

INVESTMENT HIGHLIGHTS

  • In April 2019, Bridge Tower acquired a portfolio of 37 homes located in the Dallas-Fort Worth MSA.
  • The portfolio featured an average home size of ~1,842 SF and floorplans included a mix of 3 and 4 bedrooms with an average vintage of 1994.
  • Improved NOI by ~17.3% over the 26 month hold period.
  • Bridge Tower sold the portfolio in June 2021, resulting in a 41.9% equity IRR and 2.74x equity return multiple.