Invest in Multifamily Real Estate

We offer tax-efficient multifamily investments designed to deliver risk-adjusted returns for our investors, while protecting capital.

Fund Comparison

Strategic Credit Fund 1 IncomePlus Fund QOZ Fund III
Strategy
Strategy
Multifamily debt (K-Deals, preferred equity, other commercial real estate collateralized loan obligations)
Strategy
Multi-strategy (core-plus / build-to-core / preferred equity)
Strategy
Ground-up development (build-to-core)
Risk Profile
Risk Profile
Low
Risk Profile
Medium
Risk Profile
Medium/High
Investment Objective
Investment Objective
Income
Investment Objective
Income + Growth
Investment Objective
Growth
Structure
Structure
Open-End
Structure
Open-End
Structure
Closed-End
Availablility
Availablility
Qualified Purchasers2
Availablility
Accredited Investors
Availablility
Accredited Investors
Minimum Investment
Minimum Investment
$100K
Minimum Investment
$100K
Minimum Investment
$50K
Liquidity
Liquidity
1-yr lock-up / 5% discount in months 13-24 / no penalty after 24 months
Liquidity
1-yr lock-up / penalty between 1 yr and 5 yrs / no penalty after 5 yrs
Liquidity
1-yr lock-up / penalty between 1 yr and 10 yrs / no penalty after 10 yrs
Target Returns (Net of Fees)
Target Returns (Net of Fees)
Available upon request
Target Returns (Net of Fees)
9%–11% (target net annual return3)
Target Returns (Net of Fees)
10%-12% IRR, 2.50x MOIC4
Current Yield
Current Yield
Available upon request
Current Yield
6.10%5
Current Yield
6.0%-8.0% (targeted after development phase)
Distribution Cadence
Distribution Cadence
Monthly
Distribution Cadence
Monthly
Distribution Cadence
Quarterly after development phase
Est. Fundraising Close
Est. Fundraising Close
N/A – Perpetual
Est. Fundraising Close
N/A – Perpetual
Est. Fundraising Close
12/31/24
Tax Reporting
Tax Reporting
Schedule K-1, underlying REIT (federal only)
Tax Reporting
Schedule K-1, underlying REIT (federal only)
Tax Reporting
Schedule K-1 (federal and subject to states; composites made available when possible and necessary)
Management Fee
Management Fee
1.25% of NAV
Management Fee
1.25% of NAV
Management Fee
1.25% of NAV
Performance Fee
Performance Fee
10% (6% preferred return with 50/50 catchup)
Performance Fee
10% (6% preferred return with 50/50 catchup)
Performance Fee
15% (7% preferred return with 50/50 catchup)
IRAs
IRAs
Yes, can accommodate (no UBTI because of REIT blocker)
IRAs
Yes, can accommodate (no UBTI because of REIT blocker)
IRAs
No
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  1. This Fund is offered by Origin Credit Advisers LLC, an SEC-registered investment advisor. For information on Origin Credit Advisers’ privacy practices, please see their privacy policy.
  2. A qualified purchaser is an individual or a family-owned business that owns $5 million or more in investments, not including a primary residence or any property used for business.
  3. Targeted performance doesn’t represent an actual investment and frequently has sharp differences from actual returns. Targeted returns are inclusive of appreciation and reinvestment of distributions and are net of fees. There can be no assurance that the Fund will achieve comparable results or meet its target returns.
  4. Targeted performance assumes a sale of the Fund’s investments 10 years after the Fund’s close. Targeted performance doesn’t represent an actual investment in the Fund and frequently has sharp differences from actual returns. Targeted returns are inclusive of appreciation and reinvestment of distributions and are net of fees. There can be no assurance that the Fund will achieve comparable results or meet its target returns.
  5. The net distribution yield is as of 12/31/23 and is calculated as the (December 2023 distribution divided by the latest Fund net asset value) divided by the (31 days in the month divided by 365 days in the year).