FEATURING PREMIER GROCERY-STORE REAL ESTATE

PRIVATE EQUITY FUND

This fund allows accredited investors to invest into all of our deals and own equity into our entire portfolio of grocery-anchored commercial real estate.

A Smart Alternative Investment

The FNRP Opportunity Fund is our vehicle built to provide you, our accredited investors, with a diversified portfolio of high-credit tenants that we believe will thrive no matter the market conditions. By investing in the FNRP Opportunity Fund, you get guaranteed placements in our deals that otherwise fully fund in a matter of minutes after launching.

Grocery-Anchored Real Estate

Daily-use, necessity-based, experiential retail centres provide a stable income stream for investors looking for predictability during an economic contraction.

Predictable Long-Term Cash Flow

Our national-brand, high-performing credit tenants pay us rent that produces positive cash flow. We distribute all free cash flow to our partners on an ongoing quarterly basis.

Asset-Level Diversification

Grocery-anchored shopping centres provide inter-asset diversification by attracting many different types of high-credit, national brand tenants like grocers, clothing retailers, restaurants, gyms, and government services.

Guaranteed Placements

If you’ve been following FNRP for any time, you’ve seen just how fast our deals sell-out. By allocating to the Opportunity Fund, you get the first position in every deal we do.

The Top 0.1% of Deals

Our Acquisitions Team reviews both on-market and off-market deals 7 days a week. With our extensive Dragnet Acquisitions Process, we review 1,000 deals and choose ONE to bring to you.

FNRP360 Platform

Every asset in our portfolio is enhanced by the FNRP360 Operating Platform. We combine in-house functions such as legal, leasing, and asset management to improve operating efficiencies and optimize returns.

Get To Know Us

WHO WE ARE

The FNRP Opportunity Fund is our vehicle built to provide you, our accredited investors, with a diversified portfolio of high-credit tenants that we believe will thrive no matter the market conditions. By investing in the FNRP Opportunity Fund, you get guaranteed placements in our deals that otherwise fully fund in a matter of minutes after launching.

THE RIGHT SPONSOR

When it comes to investing in commercial real estate partnerships, the team you select to invest alongside is just as important as the assets you invest in. The First National Realty Partners platform is comprised of talented and experienced professionals who are passionate about investing in commercial real estate and structuring successful transactions for our partners.

Our Tenants

FREQUENTLY ASKED QUESTIONS

How long until I start receiving distributions?

Once you subscribe and fund your investment you lock in your place in the fund starting on the 1st day of the following fiscal quarter. At the end of that quarter, you’re entitled to your pro-rata share of all distributions as well as income, expenses, and depreciation from a tax perspective.

When are distributions paid?

Distributions of positive cash flow are paid quarterly.

What is the projected Internal Rate of Return (IRR)?

IRR’s will vary with each investment made by the fund. The fund will target deal level IRR’s between 12 to 18% but final returns will be a function of the performance of the individual investment.

What is the projected Internal Rate of Return (IRR)?

IRR’s will vary with each investment made by the fund. The fund will target deal level IRR’s between 12 to 18% but final returns will be a function of the performance of the individual investment.

What is the projected cash-on-cash return?

Projected cash/cash distributions will vary based on the returns on the underlying investments. The fund will target investments with 6-9% in cash distribution.

What is the minimum investment?

The minimum investment is $50,000.

What happens when a property is sold?

The initial investment plus any upside will be returned to the fund to be distributed back to the partners on a pro-rata basis.

How much will you be deploying into every deal?

The fund doesn’t have a defined strategy on how much capital it plans to invest into any specific deal. The goal will be to conservatively invest capital in a way that would diversify the funds capital efficiently across its assets.

Will I be able to reinvest my distributions?

Yes, until we have reached the 50m cap, investors will have the ability to reinvest distributions back into the fund.

How long is the hold period/duration?

The typical investment within the fund will have a hold period from 3-7 years. The fund will go full cycle once each property’s business plan has been executed.

How much are you raising?

The total amount being raised is up to $50M.

What is an accredited investor?

To be considered an accredited investor, one must have a net worth of at least $1,000,000,excluding the value of one’s primary residence, or have income at least $200,000 each year for the last two years (or $300,000 combined income if married) and have the expectation to make the same amount this year. If you are interested in investing through an entity, please see the SEC’s website for further clarification.

Do I need to qualify as an accredited investor to invest in your fund?

Yes. Our offerings are only available to accredited investors. You will need to prove your status as an accredited investor to participate in any FNRP sponsored offering.

How do I fund my investment?

You can fund your investment via wire transfer or check.

Is there an exit strategy?

The overall strategy is to raise $50M in capital and deploy it consistently across multiple properties. Once the business plan for a property is realized and that property investment is returned back to the fund, it will in turn be distributed back to the partners. As the fund will be investing in multiple properties, the investor can expect to get their initial capital returned over time as opposed to all at once.

How do I keep track of my investment throughout the holding period?

We have developed a proprietary investor portal to allow our partners to track their investments and get access to key reports and tax forms. As a partner, you will have your own dedicated account. Formal reports are generated and provided quarterly in addition to monthly leasing updates.

If I have questions throughout the term of my investment how can I get in touch with you?

As one of our partners, you have direct access to the principals of the firm and their investor relations support team. All inquiries are handled via white glove telephone support as well.

Do you have any past partners or professional references that I can contact?

We are happy to furnish you with as many references as you would like including past partners, lenders, brokers, and other professionals we have closed or worked with in the past. Please keep in mind, past performance is no indicator of future results and you should read the offering documents carefully.

What reports, updates, and tax forms will I receive throughout the investment hold period?

Full financial reports are generated each quarter along with written formal updates. Leasing updates go out monthly. From a tax standpoint, you will receive a K-1 for your interest in the partnership each year. K-1s typically go out by March 15th of each year.