Regulatory Information

Regulatory Information

How the platform is structured and supervised.

Structure

Each property is held in a dedicated SPV. Investor shares represent proportional economic interest in that vehicle, documented in the offering materials for each property.

Client funds

Client money is held in segregated accounts and tracked on a double-entry ledger reconciled continuously. Client funds are never mixed with operating funds.

Investor verification

All investors complete KYC/AML checks before investing. Accounts are screened against sanctions and PEP lists.

Disclosures

Investing in real estate involves risk, including illiquidity and loss of capital. Read each offering document carefully. Nothing on this platform is financial advice.