Capital allocation
See where the next dollar earns the most across the portfolio — refi, recap, value-add, hold — with the assumptions and tradeoffs in one frame.
Kizazi turns scattered property data, market signals, and operating telemetry into one source of truth — so portfolio teams can act on what matters, before the market does.
Early access opens in waves. We'll only email when there's something to say.
Most portfolios don't lack data. They lack a way to act on it — coherently, across assets, before the spreadsheet circulates and the moment passes.
Not another dashboard. Kizazi connects your stack, models the questions you actually ask, and surfaces the few moves that matter this quarter.
See where the next dollar earns the most across the portfolio — refi, recap, value-add, hold — with the assumptions and tradeoffs in one frame.
Operating telemetry, rent rolls, and market comps reconciled into a single view per asset, with anomalies surfaced before they become quarterly surprises.
Stress your assumptions against rate paths, occupancy shocks, and submarket shifts — at the asset, fund, and portfolio level, in seconds.
Property management, accounting, leasing, market data — Kizazi reads from the systems you already run, with no rip-and-replace.
Your hold criteria, your underwriting assumptions, your portfolio thesis — encoded once, applied everywhere, kept current.
Every recommendation comes with the inputs, the alternatives considered, and the path back to the source data.
“The portfolios that compound the next decade will be the ones whose operators close the loop between data and decision faster than their LPs can ask the question.”
— The thesis behind Kizazi
We're onboarding a small cohort of operators each month. Early access includes white-glove integration and direct input into the roadmap.
We respect your inbox. One email when access opens, that's it.