King Trust
Equity Strategy

Commercial Equity
Fund I

Core+ and value-add investments across multifamily, office, and industrial assets in high-growth markets. Targeting 16-20% net IRR with an 8% preferred return.

Key Terms

Target Net IRR
16-20%
Preferred Return
8%
Target Hold Period
3-5 Years
Minimum Investment
$250,000
Distribution Frequency
Quarterly
Fund Size Target
$10M
Fund Capacity11% Committed

$1.1M of $10M committed

Investment Strategy

Fund I pursues a value-add strategy targeting commercial real estate assets in high-growth U.S. metros. We focus on properties with strong fundamentals that can benefit from operational improvements, capital expenditures, or repositioning.

Multifamily assets in high-growth Sunbelt markets
Industrial/logistics properties near major distribution hubs
Office repositioning in innovation districts
Mixed-use developments in transit-oriented locations

Target Markets

Atlanta
25% Target Allocation
Miami
20% Target Allocation
Houston
18% Target Allocation
Nashville
15% Target Allocation
Austin
12% Target Allocation
Charlotte
10% Target Allocation
Important Information

Risk Considerations

Market Risk

Real estate values may decline due to economic conditions, local market dynamics, or changes in supply and demand.

Illiquidity Risk

Fund interests are illiquid and not freely transferable. Investors should be prepared to hold investments for the full fund term.

Leverage Risk

The Fund may use leverage to enhance returns, which can amplify both gains and losses.

Concentration Risk

Geographic or sector concentration may result in increased volatility compared to more diversified strategies.

Ready to Learn More?

Contact our investor relations team to receive the full offering memorandum and schedule a call with our team.

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