King Penguin Opportunity Fund will seek risk-adjusted returns by investing in commercial and multi-family properties in metropolitan areas that meet our stringent investment criteria.
Our strategy is to invest in properties with below free market rents and below replacement cost in target areas where we believe have good economic growth. King Penguin Opportunity Fund seeks to achieve risk-adjusted returns through a value-add investment strategy, which is integral to our success. The fund will derive a margin of safety by the purchase of assets with low in-place rental income with upside potential.
6 year positive track record with fully audited financials
Improve property cash flow by implementing in-house construction and management techniques
Seek risk adjusted returns through a value-add investment strategy
Provide a margin of safety by purchasing assets with low in-place rents and upside potential through sale
Invest in properties with below market rents and below replacement cost with strong economic growth potential