BENA Capital Balanced Investing Fund
— 100% Funded —
BENA CAPITAL
BENA Capital, LLC (“BENA Capital”), is a diversified real estate investment company headquartered in San Ramon, California that acquires and manages properties primarily in the multifamily sector. Since the company’s formation, BENA Capital has employed a strategic debt-free investment approach and believes value is created by improving assets and growing profits, not financial engineering. As a result, investments are made with 100% cash and do not utilize any interest-bearing debt.
The Balanced Investing Fund
The Balanced Investing Fund has been formed for the purpose of investing in value‐add real estate properties in stable and growing metro areas, located throughout the United States. The Fund expects to invest in assets up to 100 units, where value-add opportunities play a role and where the Fund’s ability to underwrite opportunities and close swiftly will produce pricing advantages.
OFFERING SUMMARY
Investment Profile: Value-add Real Estate
Investment Period: 4 years
Debt Free
investment strategy
The Balanced Investing Fund utilizes a well-defined strategic framework for pursuing investments:
Key Investment Factors
BENA Capital has a track‐record of capturing premium returns by acquiring, repositioning, and renovating distressed or poorly managed assets. The Fund’s key investment factors will center around (1) macroeconomic fundamentals, (2) submarket dynamics, (3) capital market conditions and (4) property‐specific characteristics.
Value-Creation Components
The Fund intends to utilize tactical active value creation components to generate investment returns, including: (1) low‐basis acquisition prices, (2) physical asset enhancements, (3) operating expense control, (4) revenue enhancements and (5) the capital flow cycle.
Operating Strategy
The Fund’s asset management strategy intends to enhance property‐level net operating income, which drives investor returns, by focusing on occupancy and rental rate growth.
Capital Strategy
Cash flow returns for investors are BENA Capital’s primary driver, and the Fund intends to adhere to that model. The Fund’s conservative capital strategy has three primary components: (1) no interest-bearing debt, (2) efficient use of capital, and (3) sell discipline.
Diversification
Diversification is an essential portfolio risk reduction tool. BENA Capital can efficiently toggle across property sectors and strategies to reduce portfolio risk without sacrificing return.
DISCLAIMERS & Footnotes
Investing in commercial real estate entails risk. Please review the Balanced Investing Fund Disclosure Memorandum for a full set of risk factors.
Targeted returns are subject to change.
The Manager is offering this investment pursuant to Rule 506(b) of Regulation D under the Securities Act.