DFX Intelligence
Real Estate Fund Intelligence
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Manager
J•• C•••••• A•••••••• L••
CRD 301248SEC 802-117663under $1BUnclassified
What capital do they manage?
- Real estate GAV
- $115M GAV 2024sum of GAV over non-feeder, non-quarantined Real Estate Fund vehicles on the latest filing (a scale proxy, never fund size)
- Vehicles
- 1 current, 1 ever, 0 dropped0 feeders, 0 funds of funds
- First on the tape
- 2019the extract starts in 2011; an earlier history is not visible
- Latest filing
- Mar 15, 2024exempt reporting adviser
- Fund types on the latest filing
- Real Estate Fund 1
What do they say they do?
from vehicle names
- Strategy
- Unclassified
- Operator model
- unknown
- Property types
- not stated
- Markets
- not stated
Vehicles
1 on Form ADV
| Vehicle | Kind | GAV | Owners | Reported | Vintage | Lifecycle | Lifecycle | Name says | LPs |
|---|---|---|---|---|---|---|---|---|---|
| B•••••• C•••••• I••••••••• L•• 805-6679829559 | fund | $115M GAV 2024 | 7 | 2019* to 2024 | unknown | Deploying |
What do they actually own?
0 trusted of 0 candidate bindings
No validated holdings yet. Candidate bindings stay off this page until their rule passes the blind-label gate.
What are they buying, selling and financing?
0 acquisitions, 0 sales, 0 financings in 12 months
No attributed events yet. An event reaches this page only through a validated holding binding.
Who finances them?
0 loans, 0 lender groups
No recorded loans through trusted holdings.
Who backs them?
0 allocators, 0 rows
No institutional LP disclosure resolved to this manager.
People
Form ADV Schedule A, latest filing
- J••• W•••••• S••••••• Managing Member since 2002-10
What is changing?
- Vehicle first reported Oct 21, 2019 (observed) B•••••• C•••••• I••••••••• L•• first reported on Form ADV by J•• C•••••• A•••••••• L••, GAV $43,284,000 (tape start: the fund may be older)
- First ADV filing on the tape Oct 21, 2019 (observed) J•• C•••••• A•••••••• L•• first filed Form ADV in the extract (ERA)
Across DFX
- bridged to no other DFX graph by identifier
Bridged by shared CRD, CIK or SEC fund id only; the same institution’s PE portfolio companies and its real estate holdings stay on their own graphs.