We minimize risk to optimize returns
Optimized portfolio returns
We deliver positive, risk-adjusted returns by leveraging
We monitor portfolios to deliver the best risk-adjusted returns via a combination of in-house technology, SFR market expertise, rental comparables, and in-depth underlying data + metrics.
We analyze and track hundreds of underlying metrics to provide key benchmarks of success for our institutional partners. Our technology tracks metrics such as NOI, rent growth, occupancy rates, turn rate, renovation cost, and more.
We provide the necessary performance data to plug into each institutional partners’ in-house system. We report on performance metrics and data across all properties and portfolios at the preferred cadence of our partner. Whether a custom schedule, weekly summary, or monthly deep dive.
Who we serve
Asset managers & funds
We support funds, asset managers, family offices, or other institutions looking to ensure their SFR assets deliver maximum returns and outperform competitors, all while mitigating risk.
Builders & developers
With deep expertise in SFR asset and portfolio management and acquisition capabilities, we help local, regional and national builders and developers optimize their SFR portfolios, whether they're looking to hold, sell or a combination of both.
News and insights
As an established institutional-grade investment partner, Mynd is able to offer our services a la carte or as part of an all-in-one package. Get in touch for recommendations & guidance to optimize your portfolio.