Frequently asked questions

How many properties will each fund purchase?

Each Fund is structured to purchase up to four properties at a time.

Who are the fund managers?

The Fund Managers are Jordan Hopkins and Ken Segal. Combined, they offer 45+ years of experience owning and operating Multifamily, Retail, Office and Industrial properties across the United States.

How long can I keep my money invested into the fund?

The current Fund term is seven years. Keep your investment in the Fund for that period of time or reinvest into other current Fund opportunities.

What is an accredited investor?

An accredited investor, in the context of a natural person, includes anyone who meets certain income or net worth thresholds.

What’s my return on investment?

Investors received a 8% annual preferred return for Multifamily Green Impact Fund I with a minimum investment of $50,000.00 USD. Multifamily Green Impact National Opportunities Fund II will pay an 8% annual preferred return with a minimum investment of 25,000.00 USD. The total target return is 12% and 17% respectively.

What type of fund is this?

The Fund is structured under Regulation D, 506(c). Non-Public Private Equity Fund.

What is a K-1?

As a partner in the LLC that purchases the properties, you will receive a K-1. A K-1 is a tax form used by partnerships to provide investors with detailed information on their share of a partnership’s taxable income.

What types of tax documents will I receive?

Investors will receive a standard K-1 at the end of each year which will show their investments P&L for tax purposes.

What type of properties does this fund buy?

We purchase Class A Multifamily Apartment Buildings with strong historical occupancies and cash flows throughout the Southeast. All of the properties that we acquire within the Fund are available for review on our online investor portal.

Can anyone invest into the fund?

Currently we are only accepting accredited investors.

Is this investment liquid?

Yes, you can liquidate your investment any time after the initial twelve months from when your account was funded. Redemption of those funds will be distributed 72 hours after the redemption request has been received and reviewed.

Where can I access my account information and statements?

Every investor is given a username and password to access our online investor portal. The portal offers real-time account data, documents and statements which can be viewed 24/7. Statements can be mailed quarterly but by request only.

How soon after my investment will I start to receive returns?

Returns occur 30 days after the account is funded. We distribute payments to investors monthly which will occur on the first of every month. You can accept a direct payment to the selected account of your choosing or we can send a certified monthly payment via mail every month.

What are the fees involved?

A management fee of 1% annually of all the existing assets under management will be collected by the Fund. After the preferred returns are distributed, the net profits are then split 60/40 (60% to the investor(s) and 40% to the Fund managers).

Can I invest using my 401K?

Yes, you can purchase shares with a self-directed 401K or IRA.

Is the fund audited?

Yes, to provide our investors with peace of mind we have each Fund audited by third party auditors quarterly to ensure solvency and transparency to our investors in the Fund. Audits can be viewed on our online investor portal.

What’s the minimum I can invest into the fund?

Our minimum investment is $35,000.00 USD. Shares are priced at $35,000.00 USD per share.

How do I invest into these deals?

To invest, you can click the “Invest Now” tab located top right on our website and fill out the investor registration information to start the process of opening an account. We will then send you the private placement memorandum, subscription agreement and the account opening documents which will include the ACH form to fund your investment.

How many properties will each fund purchase?

Each Fund is structured to purchase up to four properties at a time.

Who are the fund managers?

The Fund Managers are Jordan Hopkins and Ken Segal. Combined, they offer 45+ years of experience owning and operating Multifamily, Retail, Office and Industrial properties across the United States.

How long can I keep my money invested into the fund?

The current Fund term is seven years. Keep your investment in the Fund for that period of time or reinvest into other current Fund opportunities.

What is an accredited investor?

An accredited investor, in the context of a natural person, includes anyone who meets certain income or net worth thresholds.

What’s my return on investment?

Investors received a 8% annual preferred return for Multifamily Green Impact Fund I with a minimum investment of $50,000.00 USD. Multifamily Green Impact National Opportunities Fund II will pay an 8% annual preferred return with a minimum investment of 25,000.00 USD. The total target return is 12% and 17% respectively.

What type of fund is this?

The Fund is structured under Regulation D, 506(c). Non-Public Private Equity Fund.

What is a K-1?

As a partner in the LLC that purchases the properties, you will receive a K-1. A K-1 is a tax form used by partnerships to provide investors with detailed information on their share of a partnership’s taxable income.

What types of tax documents will I receive?

Investors will receive a standard K-1 at the end of each year which will show their investments P&L for tax purposes.

What type of properties does this fund buy?

We purchase Class A Multifamily Apartment Buildings with strong historical occupancies and cash flows throughout the Southeast. All of the properties that we acquire within the Fund are available for review on our online investor portal.

Can anyone invest into the fund?

Currently we are only accepting accredited investors.

Is this investment liquid?

Yes, you can liquidate your investment any time after the initial twelve months from when your account was funded. Redemption of those funds will be distributed 72 hours after the redemption request has been received and reviewed.

Where can I access my account information and statements?

Every investor is given a username and password to access our online investor portal. The portal offers real-time account data, documents and statements which can be viewed 24/7. Statements can be mailed quarterly but by request only.

How soon after my investment will I start to receive returns?

Returns occur 30 days after the account is funded. We distribute payments to investors monthly which will occur on the first of every month. You can accept a direct payment to the selected account of your choosing or we can send a certified monthly payment via mail every month.

What are the fees involved?

A management fee of 1% annually of all the existing assets under management will be collected by the Fund. After the preferred returns are distributed, the net profits are then split 60/40 (60% to the investor(s) and 40% to the Fund managers).

Can I invest using my 401K?

Yes, you can purchase shares with a self-directed 401K or IRA.

Is the fund audited?

Yes, to provide our investors with peace of mind we have each Fund audited by third party auditors quarterly to ensure solvency and transparency to our investors in the Fund. Audits can be viewed on our online investor portal.

What’s the minimum I can invest into the fund?

Our minimum investment is $35,000.00 USD. Shares are priced at $35,000.00 USD per share.

How do I invest into these deals?

To invest, you can click the “Invest Now” tab located top right on our website and fill out the investor registration information to start the process of opening an account. We will then send you the private placement memorandum, subscription agreement and the account opening documents which will include the ACH form to fund your investment.