A Fund Your Clients Will Thank You For
The Infinite Property Holdings Fund offers financial advisors a professionally managed, hard asset-backed real estate vehicle to bring to eligible clients — with the transparency, reporting, and performance track record to make the conversation straightforward.
THE INVESTMENT THESIS
Why Multifamily. Why IPG. Why Now.
Your clients are asking for alternatives. They want stability, inflation protection, and returns that don’t move with the market. The Infinite Property Holdings Fund delivers exactly that — through disciplined investment in multifamily apartment buildings across Canada and the United States.
North America’s rental housing shortage is structural and growing. Population growth, immigration, and constrained housing supply have created a rental demand environment that is durable, expanding, and highly attractive for investors seeking stable yield uncorrelated to public markets.
We call our investment thesis G.I.G.S.:
Guarded
Hard asset backing. Real buildings. Real security.
Inflation-Protected
Rents rise annually. Your clients' returns keep pace with — and often outpace — inflation.
Growth-Oriented
Forced appreciation through strategic capital improvements and operational optimization. We don't wait for the market. We create value.
Stable
Multifamily maintained above 95% occupancy through the pandemic. Consistent rent collection. Proven resilience across economic cycles.
Two Strategies. One Disciplined Framework.
The Infinite Property Holdings Fund deploys capital across two complementary multifamily strategies — each selected for its ability to generate superior risk-adjusted returns.
Value-Add Repositioning
Acquisition of underperforming B+ to C- class multifamily assets in secondary urban centers across Canada and the US — where previous ownership’s neglect or suboptimal management has created measurable upside through capital improvement, operational optimization, and ESG enhancement.
Purpose-Built Rental Development
Strategic development of new multifamily rental properties in markets with strong demographic fundamentals and constrained supply. New construction assets operate outside rent control, allowing market rents to drive returns without regulatory constraint — and offer modern amenities that attract and retain quality tenants.
Every acquisition passes through IPG’s proprietary F.O.R.C.E. framework before a dollar of client capital is committed — covering site selection, operational efficiency, risk management, capital improvement potential, and due diligence. No exceptions.
WHAT YOUR CLIENTS ARE INVESTING IN
What You Need to Know
11–13%
Targeted Annualized Return
Q1, Year 3
Distributions Begin
Quarterly
Distribution Frequency
80%
LP Ownership Stake
20%
GP Ownership Stake
2.5% of NAV
annually
Management Fee
GP/LP
Fund Structure
Multifamily Residential
Asset Class
Canada and the United States
Geographic Focus
30–200
Units
Property Size
$3M–$20M
per asset
Acquisition Price Range
50–60% Equity /
40–50% Debt
Capital Structure
Bi-Annual Financial Statements
Reporting
Full offering documents available through the advisor portal. Eligible Accredited and Qualified Investors only
How We Protect Your Clients' Capital
Diversification
Capital is deployed across multiple assets and geographies — Canada and the United States — reducing single-market exposure for your clients.
Professional Management
AI-powered property management technology combined with experienced on-the-ground operators maximizes NOI and minimizes vacancy risk across the portfolio.
Economies of Scale
As the portfolio grows, per-unit costs for capital improvements decrease — translating directly into improved returns for your clients.
Cash Flow Orientation
Every acquisition is underwritten for cash flow from stabilization. Distributions are not speculative — they are engineered into the acquisition thesis from day one.
Long-Term Investment Horizon
Multifamily fundamentals reward patience. The fund structure is designed to capture both stabilized cash flow and long-term capital appreciation — not short-term market timing.
RISK MANAGEMENT
INVESTOR QUALIFICATION & COMPLIANCE
Built With Compliance at the Core
All investors introduced through advisor partners are qualified through IPG’s designated Exempt Market Dealer (EMD), who is responsible for determining eligibility as an Accredited Investor or Qualified Investor under applicable Canadian and US securities legislation.
As an advisor partner you can expect:
- Full EMD-managed qualification process for every client
- Complete offering documentation through the advisor portal
- Bi-annual financial statements shared with you and your clients simultaneously
- Direct access to the IPG team for any compliance or reporting queries
Your professional reputation matters. Ours does too. We handle the compliance infrastructure so you can focus on the relationship.
THE ADVISOR EXPERIENCE
What Working With IPG Looks Like
Connect
Reach out to discuss your book and your clients' investment profile. We'll walk you through the fund structure, current opportunities, and answer every question you have.
Get Equipped
Access the advisor portal for full offering documents, financial projections, and presentation materials. Everything you need to have a confident conversation with eligible clients.
Introduce Your Clients
We manage investor qualification through our designated EMD, ensuring eligibility compliance while keeping you informed throughout the process.
Stay Informed
Receive the same bi-annual reporting your clients do. Full visibility into fund performance, distributions, and portfolio updates — always.
LET'S BUILD SOMETHING TOGETHER
Ready to Explore a Partnership?
IPG works with a select group of advisor partners who share our commitment to long-term value creation and client-first thinking. If that resonates, we’d like to connect.