Private investors funds have consistently outperformed public markets over the last 30 years by investing in alternative assets like private market real estate and other short-term high return Real estate investments. Prudential Funding Partners democratizes access to this once-unattainable asset class, we are a platform that enable investors buy fractions of ownership in real estate making it possible for anyone to become an investor in larger Real Estate projects.
Alternative investments used pooled funds and a variety of strategies to achieve returns for investors. We identify and take advantage of specific opportunities—combining low to high-risk investment
How do I earn returns from this investment?
You earn returns primarily in two ways: (A) via quarterly dividends and (B) via appreciation in the value of the shares of your investment. These returns ultimately come from the individual assets in our portfolio – interest or other profits collected, as well as potential appreciation in value of holdings. As a shareholder, you are entitled to your pro-rata portion of any returns. Actual results may vary and there can be no guarantee of enhanced returns due to investing.
When can I expect a return?
Dividends are typically distributed in the middle of the month following the end of each quarter, e.g. mid-April for dividends earned during the first quarter. You may also receive additional periodic cash distributions as certain short-term investments payout. The value of your shares is also typically re-calculated on a quarterly or semi-annual basis.
Can I redeem (cash out) my shares?
Yes, except for long term real estate investments, which is inherently a longer-term illiquid investment. However, we have adopted a redemption plan whereby an investor may obtain liquidity monthly, following a minimum 60-day waiting period after submitting their redemption request, subject to certain limitations.
What are the management fees?
2% annual asset management fee from gross profit and 50% of net profit after investor/member/partner 8% return. (Members receive preferred return of 8% annually and 50% of net profit). Assumptions: (the LLC total annual profit was 16%, members receive 12% and management 4%).
What is a Fund?
Fund is a limited liability companies that hold tangible and intangible assets portfolio for its members. When you invest, you are buying shares of these assets, allowing you to diversify into variety of opportunities efficiently and at a low cost.
What tax documents can I expect to receive?
Investors in the Starter Portfolio plan can expect to receive a Form 1099-DIV

Zero-stress way to see if Prudential Funding Partners is a good fit for you. 

If at any time during your first 90 days you’re not satisfied, we will buy your share back at the original investment amount.