Kanji is actively searching for investors that match with these existing deals in the Real Estate, FinTech, and Venture Capital markets
Region: NY
Type: REIT
Funding Amount: $250,000 USD
Estimated Expected Return: 18% to 20% IRR
Holding Period: 5 to 7 years
REIT that invests in a diversified portfolio of commercial real estate properties encompassing the supply chain and logistics infrastructure of North America targeting numerous asset classes such as warehouses, cold storage facilities, healthcare & life science buildings, and mobility hubs. With over 38 years of experience in the real estate space, the fund is managed and led by an award-winning fund manager.
Region: NY
Type: Medical Equities Fund
AUM: $50 Million USD
Estimated Expected Return: 24% IRR
Holding Period: 5 years
A medical fund specializing in medical real estate properties labeled as Call Fund where investors fund their commitment as properties are acquired rather than all at once. fully Curating all properties before being considered for the portfolio. Fund is sponsored by a team with over 27 years of proven track record of stellar returns in the commercial real estate space.
Region: NY
Type: Multi Asset Class Digital Wealth Management Platform
AUM: $3.2 Billion USD
Estimated Expected Return: varies by strategy
Holding Period: from 3 months to 10 years
VC-backed firm connecting accredited investors to opportunities across multiple asset classes via either single deal or diversified fund exposures. Catering to a wide audience, with investment opportunities that offer varying degrees of risk, return and duration profiles with roughly $3.2Bn USD in total transaction volume since inception. Founded and led by a team of experienced leadership team with over 20 years of track record in the real estate space.
Region: NY
Type: Quantitative Hedge Fund
AUM: $550,000 USD
Estimated Expected Return: greater than S&P 500
Holding Period: varies by strategy
A hedge fund featuring a proprietary, quantitative trend-following and countertrend trading model that identifies above average profit opportunities from inefficiencies in the market with a strategy to take advantage of inefficiencies of the market’s volatility and trends. Run by a team of investment advisors with over 20 years of investment experience working at Bear Stearns and Morgan Stanley.
Region: CA
Type: Quantitative Hedge Fund
AUM: $65 Million USD
Estimated Expected Return: 17.22% annualized return
Holding Period: varies by strategy
A quantitative investment management company serving a select group of high-net-worth individuals, family offices, and institutional investors. Monitoring concentration daily, with typically liquid large, concentrated positions, and helping for relatively short period of time, as well as a defining protocol for stop loss execution. Fund is managed by a team with over 60 years of collective experience in portfolio management, trading, venture capital, private and public markets.
Region: NY
Type: Hedge Fund
AUM: $1 Billion USD
Estimated Expected Return: 46% Net IRR (average)
Holding Period: 1 to 4 years
Founded in 2014 operating as a principal presenting co-investment opportunity as SPV offerings, as well as a direct brokerage for institutional scale transactions. Focusing on technology companies across various stages, sub-sectors, and geographies. Providing liquidity solutions to private companies and shareholders. With over 70 years of collective experience in the investment banking, business operations, and acquisition integration.
Region: NY
Type: Hedge Fund
AUM: $1.5M USD
Estimated Expected Return: modified Dietz
Holding Period: 1 year
Opportunity driven multi-strategy growth fund focusing on emerging themes, and special situation investments. Utilizing a discretionary strategy inspired by a mathematical framework. The fund works on maintaining returns that are not correlated with the broader market through primarily avoiding large index constituents. Fund is managed by a former Goldman Sachs alumnus with more than 12 years of experience.
Region: CT
Type: Value Equity Manager Fund
AUM: $2.3 Billion USD
Estimated Expected Return: varies by strategy
Holding Period: approximate of 2 years
Fund with an investment objective of achieving long-term appreciation primarily through investments in U.S. equities and equity related securities throughout the market capitalization range. A relatively concentrated high-active share and differentiated strategy with a small/ mid capitalization bias. Fund is led and managed by a team of portfolio managers with proven track record in the energy and technology space.
Region: NY
Type: Healthcare Equity Fund
AUM: $2.7 Billion USD
Estimated Expected Return: 5x to 10x
Holding Period: 10 years
A healthcare-focused structured growth equity fund targeting the tranches (1) tech-enabled healthcare services, (2) niche clinical providers, and (3) specialty pharmaceuticals. Focusing on mid-Atlantic region with higher concentration of healthcare companies and generating between $5M and $50M in annual revenue. Fund is managed by senior team led by a serial investor and entrepreneur with over 30 years of private equity experience.
Region: NY
Type: Investment Company
Funding Amount: $1,000,000 USD
Closing Date: Immediate
Estimated Expected Return: 40%
Holding Period: 7 years
Intended to redefine the live entertainment industry and change the capital dynamics of that business, this investment opportunity is creating opportunities to develop and evolve IP and infrastructure across the live universe, including music, immersive, consumer brands and technology. Founded by media and finance entrepreneurs with over 85 years of collective experience across established and emerging media in operations, finance, and leadership.
Region: NY
Type: Venture Capital
Funding Amount: $500,000 USD
Closing Date: Immediate
Estimated Expected Return: 175% Gross IRR
Holding Period: 5 years
A venture fund focused on core infrastructure opportunities in the blockchain, Web3, and gaming space with roughly $62M USD closed on Fund I so far. The team targets companies building or integrating on Web3 into their business. Through a well though sourcing process, they identify core infrastructure opportunities all while leveraging relationships with legacy institutions. Alongside the founders is an advisory board occupied by senior advisors from Morgan Stanley, McKinsey & Company.
Region: WA
Type: Convertible Notes
Funding Amount: syndication available
Closing Date: December 2022
Estimated Expected Return: 4% simple interest converts at 20% discount to Series B
Holding Period: 2 years
Platform specializing in financial institution space and digitization. Looking for Series B funding as the group is continuing to expand with projected valuation of roughly $1.5B with goal of going public in 3 to 5 years. Currently have over $1B in assets under custody. Company is managed and led by a team of veterans in the banking, legal, and regulatory space.
Region: FL
Type: Portfolio of 300 Single Family Homes
Funding Amount: $250,000 USD
Closing Date: Immediate
Estimate Expected Return: 17% IRR
Holding Period: 10 years
An upscale, sustainable living environments fully managed by a family-owned developers based out of South Florida, USA. Pipeline target is 300 single family homes being developed at 8% CAP and selling at 4% to 5%. Sponsors have developed and managed several thousands of multi-family units and commercial properties.
Region: FL
Type: Industrial Warehouse
Funding Amount: $250,000 USD
Closing Date: Immediate
Estimated Expected Return: 21% IRR
Holding Period: 5 years
Fully occupied industrial warehouse located in Florida. Developers planning on implementing an adaptive re-use program into co-warehousing to drive their asset management division. Feasibility study showing holding the property will yield strong cash flow until optimal divestment period arises. Founded and led by a pioneer in the FinTech space with over $1 Billion USD in currency turnover for thousands of commercial and retail clients each year.