Coming Soon
Price Per Share
$82.25
Internal Rate of Return
8.6%
Spots Left
127
Total Shares
100
Share Price: $82.25
Equity: $8,225.00
Target Rate
8.6%
Hold Period
5 Years
Projected Return
$12,424.67
Quartz REIT Alpha follows a disciplined investment management strategy
Low Debt - no more than 40% aggregate debt at all times
Debt Sensitivity Analysis - quarterly review of interest rates to protect yield to investors
Valuation Due Diligence - only acquire properties that meet our sustainable rent roll and projected 10% returns to investors
Low Management Fee - 0.5% management fee that increases to 1% upon performance milestones of $30M raised or first distribution of dividends to investors
Growing Markets - Thorough market research to identify, negotiate, and acquire assets in growing markets with opportunities for value add and capital appreciation
We are testing the waters under Regulation A, of the Securities Act of 1933. No money or other consideration is being solicited at this time and if sent in to us will not be accepted. We are merely soliciting indications of interest at this time. No offer to buy securities can be accepted and no part of the purchase price can be received until our offering statement is qualified with the SEC. Any such offer to buy securities prior to qualification may be withdrawn or revoked, without obligation or commitment of any kind, at any time. Indications of interest in our offering involve no obligation or commitment of any kind.
Investing in real estate involves risks including the potential loss of principal. A real estate portfolio is subject to risks similar to those associated with the direct ownership of real estate and real estate debt, as the investments are sensitive to factors such as changes to real estate values and property taxes, interest rates, cash flow of underlying real estate assets, supply and demand, and the management skill and credit worthiness of the issuer & borrowers. Portfolios concentrated in real estate assets may experience price volatility and other risks associated with non-diversification. US real estate investments may also be affected by tax and regulatory requirements. Economic factors, market conditions, and investment strategies will affect the performance of any portfolio and there is no assurance that a portfolio will match or outperform any particular benchmark. There is no guarantee that investment objectives will be achieved, and past performance is not indicative of future results.
Performance Not Guaranteed: Past performance is no guarantee of future results. Any historical returns, expected returns, or probability projections are not guaranteed and may not reflect actual future performance. There is no guarantee that investing in loans and cash-flowing properties will cashflow in the future or produce a profit or return to investors. Failure to achieve the investment objectives could result in a loss of principal
Risk of Loss: All securities involve a high degree of risk and may result in partial or total loss of your investment.
$82.25
Current Price
6.20%
Cap Rate (Prior year to date)
8.6%
IRR of REIT (Prior year to date)
7.9%
Annualized Return Percent (Over life)
$15,000,000
Net Asset Value (NAV)($) (Prior year to date)
4.50%
Annualized Dividend Rate (%) (Life to date)
Financial Quality Quartz Grade (A-F)
See financial quality grade details
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