THE MAESTRO FUND          A Private Equity Real Estate Fund

   WWW.MAESTROFUND.COM

 


 

THE MAESTRO FUND STORY:

A series of funds aimed at providing investors with access to commercial real estate opportunities without the constraints of management or mortgage obligations. Strategic acquisition of real estate assets will be made for the purpose of long term equity growth. Three to ten year time horizons ensure stable return and the ability of the fund manager to sell the assets within proper market cycles. Class A and B properties are acquired in the office, industrial and retail sectors. The Fund Manager provides access to the market that the average investor cannot attain (see Fund Manager Profile page). Potential investors may review a prospectus on individual properties and their investment objectives to determine which investments provide a good match for the investor's objectives.


ASSET CLASS DIVERSIFICATION: This investment product offers a way to diversify one’s long term investment portfolio into the commercial real estate asset class. These funds offer a liquidity and exit strategy and a passive role in asset management. Institutional portfolio managers view this asset class as an important part of a well balance portfolio and one that is understood to hedge both stocks and inflation. This fund may be used as part of a retirement account investment strategy since the tax change for "Self-directed IRA, Keogh and Roth Accounts" has allowed for investment in vehicles such as this.


LIMITED DOWNSIDE RISK: Invest alongside the professionals while enjoying no property management issues nor liability on mortgage debt obligations. Investments are chosen and negotiated for by the professional Fund Manager who invests personal capital alongside the other investors. Properties are managed by professional property management services in the market in which the asset resides. Most properties are or will be conservatively mortgaged for 60-70% of the asset value, providing investors the return benefits of leverage with none of the risk on the mortgage obligation.


INVESTOR QUALIFICATIONS: Only accredited investors will be consider for inclusion (see Eligibility Questionnaire page)


FUND HIGHLIGHTS:

  1. Return of investment plus a 9% preferred annual return before any other distributions

  2. Certain liquidity provided through timeframe for sale of assets

  3. No risk to investors on mortgage obligations

  4. Advantage of conservative leverage (60-70%) without liability

  5. Visible East Coast assets

  6. Professional property management

  7. Fund Manager invests own capital alongside investors

  8. Clear exit strategy unlike TIC (Tenant in Common Fund) investments

  9. Available as investment strategy for retirement accounts

  10. Semi-annual distributions and annual tax reporting provided to investors.

This website is for public information purposes only. The inclusion of information regarding the operation of the Fund, the potential for investment in the Fund and properties in which the Fund is invested or considering investment is not intended as, and does not constitute, an offer to make any investment in the Fund or to sell any securities or real estate in the United States, any State or in any other country. For more information please see the DISCLOSURE page of this website.

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