Why automotive
Automotive retail and specialty finance are large, fragmented markets where local execution, disciplined underwriting, and experienced leadership can materially influence outcomes.
Our orientation
We seek to combine operating knowledge with disciplined transaction structure, thoughtful risk management, and clear alignment among investors, owners, and management.
Current investor framework
The Company is currently targeting a preferred annual return of approximately 12%, with potential investor returns up to approximately 16% annually based upon Company performance. Returns are not guaranteed.
- Distribution elections: monthly, quarterly, annual, or reinvestment/compounding, subject to performance and available cash flow
- Anticipated principal-return requests after approximately six months with approximately 90 days written notice, subject to operational liquidity and Company approval
- Offering intended primarily for accredited investors under Regulation D
Review materials on your schedule
Qualified prospective investors may register for secure access, review available materials and disclosures, complete their profile, and proceed without first scheduling a conversation. Any investment opportunity is governed solely by applicable definitive offering documents.
Secure investor access
Review documents and continue independently.
Qualified investors may request access or sign in to the secure portal to review confidential materials, complete accreditation information, submit documents, and proceed without scheduling an introductory call.
