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Users considering investment opportunities presented on this Website are urged to carefully evaluate various factors before making any financial commitments. The following risk disclosure outlines potential and actual risks associated with investments featured herein. Prospective investors need to be aware of and understand these risks, as additional uncertainties not presently known may exist.
Investment Characteristics
Prospective investors must possess the financial capability and willingness to accept inherent risks and the lack of liquidity that characterize the investments described on this platform. It is important to note that there will be no public market for the units of the opportunities.
Uncertainties and Subjective Judgments
Due to the uncertainties inherent in selecting opportunities and the unpredictable nature of future events, there is no assurance that the expected results of an investment opportunity will be achieved. Users must conduct their examination of the opportunity and its terms, relying on their judgment to evaluate the associated risks.
Potential Risk Factors
Market data and industry forecasts used in opportunity assessments are sourced from various outlets. While believed to be reliable, the accuracy and completeness of such
information are not guaranteed.
Investment outcome forecasts are based on assumptions, business strategies, and the economic environment. Actual outcomes may differ, and the company disclaims any
obligation to update forward-looking statements.
Investments recommended will be subject to the inherent risks of owning, operating, and developing real property, including fluctuations in market value.
Current opportunities do not offer avenues for leverage.
Each investment opportunity specifies a minimum lock-in period, and reaching maturity may take a considerable time beyond this period.
Securities purchased should be considered long-term investments, and liquidity is not guaranteed. The ability to sell securities is subject to market interest.
Investors will hold a minority stake, lacking control characteristics. Realizing appreciation depends on the existing management and board of directors.
General economic conditions, interest rates, inflation, and regulatory changes may impact the success and liquidity of investments.
Legal and regulatory changes could adversely affect the value of real property or the company's expenditures.
The asset manager is entitled to a percentage of net profits on liquidation, potentially influencing their suggestions regarding risk-reward profiles.
The asset manager provides administrative services, and the Agreement outlines rights and duties, limiting liability.
Dynamic and complex operations, reliance on third-party systems, and inherent operational risks may impact financial systems.
Investors are urged to consult their own legal, tax, and financial advisers regarding the desirability and appropriateness of investing.
Occurrences of natural or artificial disasters may negatively impact the economy and real estate market, affecting investment performance.
The outlined risk factors provide an overview, but this disclosure is incomplete. Prospective investors are strongly encouraged to read this document and the opportunity documents entirely before deciding on a subscription to understand the associated risks fully.