REIF-Asia RE Fund

The REIF Fund has Produced Consistent
Uncorrelated NAV Growth and Dividend Income
Every Year Since Inception in 2009

Limited Access to Website

Pennington's Real Estate Investment Fund (REIF) is targeted to only a highly-selective group of qualified investors and their advisors. To be considered, prospective clients should qualify as one of following.

Investment Advisor
Accredited Investor
Institutional Investor 
Private Wealth Manager

DISCLAIMERS: THIS IS NOT AN OFFER TO SELL SECURITIES. Information contained on this website is not an offer to sell securities or the solicitation of an offer to buy securities, nor shall there be any sale of securities in any jurisdiction in which such offer, solicitation or sale would be unlawful prior to registration or qualification under the securities laws of such jurisdiction.

ACCREDITED INVESTORS MUST MEET ONE OF THE FOLLOWING QUALIFICATIONS: A) The individual must have earned income exceeding $200,000, or $300,000 when combined with a spouse, during each of the previous two full calendar years, and a reasonable expectation of the same for the current year. OR B)The individual must have a net worth greater than $1 million (either alone or combined with a spouse), excluding the person's primary residence.

PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS. Data assumes the reinvestment of quarterly dividends, which is optional. The information and summaries contained in this website appear as a matter of record only and are provided for information purposes only. The data is based on information and data received from the subjects of each and from other third party sources and no guarantee of completeness or accuracy can be made nor is any representation or warranty made in this regard. We understand that many of the funds may not be sold into, or that their sales may be restricted in, particular jurisdictions (including the United States). Accordingly you are advised to seek independent professional advice before taking any action in relation to any fund mentioned herein. We accept no liability whatsoever for any direct or indirect loss arising out of the use of or reliance on this data.

TERMS OF USE. By reading this communication you agree that you have reviewed and fully acknowledge these disclaimers.