Two ways to diversify with one-and-done funds

Reduce concentration risk by investing in one of Cadre’s diversified commercial real estate portfolios.
Both funds target institutional-quality multifamily real estate supplemented by select industrial, hotel, and office assets.  All investments in Cadre funds are individually selected for their potential to outperform, vetted by institutional-quality due diligence, and fully managed by Cadre’s Investments team. 

Choose the diversified portfolio that best fits your investment goals

Investment Strategy
CDAF II
ⓘ Value-Add & ⓘ Opportunistic Development
ⓘ Core / ⓘ Core-Plus
CHF
Risk/Return Profile
  • Growth oriented
  • Potentially higher risk and return than CHF
  • Majority of the return driven by value appreciation vs. income
CDAF II
  • Income oriented
  • Potentially lower risk and return than CDAF II
  • Equal parts of the return driven by value appreciation vs. income
CHF
Target Property Types
Focus on multifamily (approximately 50%), remainder earmarked for industrial, hospitality, and office investments.1
CDAF II
Focus on multifamily (approximately 50%), remainder earmarked for industrial, hospitality, and office investments.1
CHF
Sample Assets
Multifamily
Value-add acquisitions & select ground-up development
CDAF II
Core-Plus stabilized newer vintage acquisitions, select build-to-core development
CHF
Industrial
Value-add acquisitions & select ground-up development
CDAF II
Core-Plus stabilized newer vintage acquisitions, select build-to-core development
CHF
Hospitality
Value-add acquisitions with renovation plan
CDAF II
Core-Plus stabilized newer or recently renovated property acquisitions
CHF
Office
Value-add acquisitions with renovation and lease-up plan
CDAF II
Core-Plus acquisitions with high occupancy, credit tenants and longer lease terms
CHF
Fund Minimum
$50k minimum
CDAF II
$10k minimum
CHF
Target Fund Size
$400mm2
CDAF II
$250mm3
CHF
Fund Life
Closed-ended 8-year life4
CDAF II
Closed-ended 8-year life4
CHF
Fund Structure
Non-publicly traded limited partnership
CDAF II
Non-publicly traded limited partnership
CHF
Cadre Investment
Cadre corporate and its employees invest in the Fund to align interests with investors
CDAF II
Cadre corporate and its employees invest in the Fund to align interests with investors
CHF
Asset Range
Mid-cap assets ($50-150 million)
CDAF II
Mid-cap assets ($50-150 million)
CHF
Investment Approach
Individually selected assets, institutional-quality due diligence and asset management
CDAF II
Individually selected assets, institutional-quality due diligence and asset management
CHF

Cadre funds offer investment advantages that make a difference.

Sharpshooter Asset Selection
All assets in Cadre’s diversified portfolios of private commercial real estate are individually sourced from high-growth markets, by property type, for the potential to deliver outperformance.
Institutional-Quality
Due Diligence
Cadre’s experienced Investments team underwrites each asset we add to Cadre Funds with rigorous, institutional-quality due diligence.
Full Lifecycle
Asset Management
Cadre’s Investments team supplements their insights with proprietary technology to improve our reporting and management processes all the way through to disposition.

Cadre Funds: For peace of mind and portfolio protection.

Busy people may benefit from the structural advantages of investing in a commercial real estate fund. There are less decisions to make, fewer tax forms to file, and more asset variation.

At Cadre, we are deliberate about every step we take along the entire investment lifecycle, and we supplement our human decision-making with proprietary software tools and technology. So you can invest once, gain exposure to a variety of commercial real estate assets over time, and rest assured that Cadre is making the investment decisions on your behalf. 
Spread your investment across multiple assets and various property types in different U.S. markets to reap the rewards of diversification and reduce concentration risk.
Benefit from a single K-1 tax form, single reporting, and a single subscription document for all assets in Cadre funds.
Rest assured that Cadre’s experienced team will perform stringent due diligence, put in place a sound business plan, and execute all aspects of investment management… so you don’t have to.

Cadre Funds FAQs

What are Cadre Funds?

Cadre Funds allow investors to access multiple properties via a single subscription. Our Cadre Deal-by-Deal products, by comparison, typically invest in a single deal/property. 

Diversification is a benefit of the Cadre Funds, as investment risk may be spread across multiple assets. Additionally, investors in Cadre Funds can access real estate opportunities on a wider scale than they might otherwise be able to by making individual investments.

How does investing work?

Once you create an account, you will be able to review our investment opportunities. Once you’re ready to invest, our platform will prompt you with any questions necessary to complete your investment documents online. Then we will notify you about how to fund your investments through our online platform.

As an investor, you will have access to your portfolio details and you will receive quarterly updates on how your investments are performing. If it’s relevant to your investments, you will receive distribution income on a quarterly basis. Finally, if you feel the need for liquidity, the Cadre Secondary Market provides the opportunity to list eligible investments to seek a buyer (liquidity not guaranteed).*

*Please see important disclosures.

How are my investments protected?

Each Cadre Fund is a partnership and we act as the decision-maker of the partnership on your behalf, handling the day-to-day operations with our partners. Your investment is held in the form of a limited partnership interest in a Delaware limited partnership. If something were to happen to Cadre (the company), you would still maintain your ownership of the real estate partnership.

Important Disclosures

Private Securities

Private Securities are high-risk and illiquid investments. No securities commission or regulatory authority has recommended or approved any investment or the accuracy or completeness of any of the information or materials provided by or through us. Please refer to the investment opportunity and memorandum for additional information, disclosures, and a more detailed explanation of expenses and risks. Interests are being offered only to persons who qualify as accredited investors under the Securities Act, and a Qualified Purchaser as defined in Section 2 (a) (51) (A) under the Company Act. Any securities offering is private and you may be required to verify your status as an "Accredited Investor" to participate.

Not Advice

This communication is not to be construed as investment, tax, or legal advice in relation to the relevant subject matter; investors must seek their own legal or other professional advice before making any investment to determine whether an investment is suitable for them.

Performance Not Guaranteed

Past performance is no guarantee of future results. Any historical returns, expected returns, or probability projections are not guaranteed and may not reflect actual future performance.

Risk of Loss

All investments involve a high degree of risk and may result in partial or total loss of your investment.

Liquidity Not Guaranteed

Investments offered by Cadre are illiquid and there is never any guarantee that you will be able to exit your investments on the Secondary Market or at what price an exit (if any) will be achieved.

Not a Public Exchange

The Cadre Secondary Market is NOT a stock exchange or public securities exchange, there is no guarantee of liquidity and no guarantee that the Cadre Secondary Market will continue to operate or remain available to investors.

More complete disclosures and the terms and conditions relating to an investment in a particular private placement is contained in the investment memorandum.

1The Fund has substantial flexibility when implementing its investment strategy. Targeted investments, portfolio composition and investment strategy may change over time and there can be no assurance that investment objectives will be achieved. Detailed information regarding the Fund’s investment strategy as well as a complete list of the risks and other important disclosures involved in investing in the Fund are contained in the offering documents of the Fund, which must be reviewed carefully before making an investment decision.
2Represents target figures as of the Fund's launch. Certain data and information discussed below are sourced from third party sources. Please review the investment memorandum for specific sourcing information.
3Represents target figures as of the Fund's launch. Certain data and information discussed below are sourced from third party sources. Please review the investment memorandum for specific sourcing information.
4The Fund’s term is 8 years from the date of the final closing date of the Fund (subject to extension options as set forth in the limited partnership agreement of the Fund).