Asset managers and funds
For funds, asset managers, family offices, and other institutional players looking to grow returns, enhance portfolio value, and mitigate risk across SFR and BTR holdings.
Asset Management
Roofstock’s experienced asset managers use proprietary market intelligence and operating data to help our partners improve performance across their portfolio.

52
Net Promoter Score
<0.4
Eviction rate
80
Renewal rate
WHO WE SERVE
For funds, asset managers, family offices, and other institutional players looking to grow returns, enhance portfolio value, and mitigate risk across SFR and BTR holdings.
For local, regional, and national builders and developers looking to optimize the performance of rental communities.
What we do
We help grow top-line performance with pricing strategy, inventory management, revenue and expense tracking, and continuous market trend monitoring.
We help grow long-term portfolio value with quarterly portfolio valuations, monthly business reviews, active KPI monitoring, asset value-add strategies, hold/sell analysis, lease expiration curve management, and full-lifecycle expansion strategy.
We provide detailed operational data, an operational dashboard, monthly trend and insight reports, competitive benchmarking, lender reporting, and forecasting and budgeting support.
WHY ROOFSTOCK

We combine internal operating data with 1B+ market data points to deliver insights that others can’t, and deliver advanced reporting: fund-level scenario modeling, portfolio FP&A and forecasting, debt servicing and securitization support, and revenue optimization analysis.

Our asset managers work alongside the same teams running acquisitions, property management, and dispositions for your portfolio, so your buy, hold, and sell decisions are grounded in operational reality.

We can provide oversight across multiple property managers in your portfolio, delivering the transparency, accountability, and performance discipline you need.