Contact AZARA

Have questions about our Mentorship-to-Partnership program, Key Principal opportunities, or need general assistance? Fill out the form below, and our team will get back to you promptly.

Geographic Focus

Flexible—targeting strong, stable secondary and tertiary U.S. markets.

Asset Class

Value-add multifamily, workforce housing, and stabilized Class B/C properties.

Investment Strategy

Data-driven market selection and stress-tested underwriting, operational superiority, always striving to be best-in-class in whatever asset and market we go after.

Returns

Our returns depend on which of three business models we implement. Larger value add projects sold in 3-5 years will target higher IRRs than modest-sized assets with longer holds. The long-term holds target the highest CoCr we can generate based on operational excellence.  Finally, we anticipate social impact assets will also be long-term holds targeting strong Cash on Cash returns, but projecting those returns similarly depends on the specific social impact services our partners are implementing.  Each investment opportunity needs to be evaluated at the time with the information we provide. And of course, no returns are ever guaranteed. However, part of the Azara difference is our transparency about projections and disclosures, so you can make an informed decision before you invest.

Risk Management

Thorough due diligence, conservative debt structures, strong investor alignment, and open reporting.

Sourcing & Underwriting

Detailed market research, creative deal-making, and partnership-driven capital solutions.

Impact extends beyond profits

communities benefit from improved living conditions and responsible stewardship.

Phone: (612) 466-0423

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