Verified accredited investors only
Capital that builds.
A Reg D 506(c) private real estate fund deploying into U.S. residential construction.
Returns are not guaranteed. All investments involve risk, including the possible loss of principal.
Ascend Capital Partners | Private Real Estate Fund
Offering facts
Current offering terms, stated plainly.
The stated minimum investment is $50,000. Annual targeted preferred-return tiers are $50,000 to $74,999 at 10.50%, $75,000 to $149,999 at 10.75%, and $150,000 or more at 12.00%. Preferred return is calculated using simple interest and does not compound. Monthly distributions depend on available distributable cash and the Manager's determination that a distribution is prudent. Returns and distributions are not guaranteed. The Fund has a three year initial lockup, and redemption afterward remains subject to Fund liquidity. Ascend Capital Partners LLC receives a 4% annual management fee on invested capital. The current definitive offering documents control.
Who this is for
Verified accredited investors seeking passive real estate exposure.
The Fund is intended to offer verified accredited investors passive exposure to residential development through an operator-led strategy. Investors acquire an interest in the Fund, not a direct interest in any property. Targeted preferred returns are not guaranteed, and operator project experience is not Fund performance.
A current fit
- Purchasers must be verified accredited investors. Checking a box on this website is not Rule 506(c) verification.
- The strategy is passive exposure to residential development. You do not acquire a direct interest in any property.
- The stated minimum investment is $50,000. Offering documents are provided through the approved investor process after preliminary qualification.
Not a current fit
- Illustrative homes on this site are not a Fund property interest and not Fund performance.
- The Fund has a three-year initial lockup. This is a lockup, not a rate lock. Redemption is not available on demand after three years.
- This website does not itself complete an offer. Any offer is made only by means of a confidential Private Placement Memorandum.
Overview
A private real estate strategy for verified accredited investors.
Ascend Capital Partners is the public brand. The Fund is issued by ACP Management Partners LLC and managed by Ascend Capital Partners LLC. Ascend Financial LLC is the Class A Common Member and does not hold Fund investors. The Fund is intended to offer verified accredited investors passive exposure to residential development through an operator-led strategy. Investors acquire an interest in the Fund, not a direct interest in any property. Targeted preferred returns are not guaranteed, and operator project experience is not Fund performance.
Gallery
Why invest in single-family luxury residential?
Essential Need
The strategy is built around residential housing demand. That is not a guarantee of Fund results.
Operator-Led Strategy
The Fund is intended to offer verified accredited investors passive exposure to residential development through an operator-led strategy. Targeted returns are not guaranteed.
Fund Interest Only
Investors acquire an interest in the Fund, not a direct interest in any property. Illustrative homes on this site are not Fund performance.
Image is illustrative residential development associated with the operator. You are investing in the Fund issued by ACP Management Partners LLC, not in any individual property. Builder’s Edge project experience is not Fund performance.
How to Invest
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Qualify
Complete a preliminary accredited-investor self-attestation so we can understand whether this offering may be appropriate. That step is not Rule 506(c) verification.
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Review offering materials
Offering documents are provided through the approved investor process after preliminary qualification. Any offer is made only by means of a confidential Private Placement Memorandum.
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Speak with the Ascend team
If you have questions or want to continue, schedule a call with the Ascend team.
Investment tiers
Three commitment tiers with targeted annual preferred returns. The preferred return is simple and does not compound, and is not guaranteed. Distributions are expected monthly where practicable. The manager receives an annual management fee equal to 4% of invested capital. Builder’s Edge and other affiliates may receive project-level and other fees.
Basic
Targeted annual preferred return · expected monthly where practicable · not guaranteed
$50,000 – $74,999
Growth
Targeted annual preferred return · expected monthly where practicable · not guaranteed
$75,000 – $149,999
Premier
Targeted annual preferred return · expected monthly where practicable · not guaranteed
$150,000+
Luxury Residential Development Experience
Illustrative luxury residential development associated with the operator. These images are not Fund performance, and project-level figures are not published until substantiated in the claims register.
You are investing in the Fund issued by ACP Management Partners LLC, not in any individual property. Builder's Edge project experience is not Fund performance. Targeted returns are not guaranteed. Any offer is made only by means of a confidential Private Placement Memorandum.
Luxury Estate
Illustrative residential development in Florida. Not a direct property investment and not a verified Fund performance result.
Private Estate
Illustrative residential development in New Jersey. Not a direct property investment and not a verified Fund performance result.
How it works
A structured path from qualification through document review, subscription, deployment, and ongoing reporting.
Qualify
Complete a preliminary accredited-investor self-attestation. That step is not Rule 506(c) verification.
Review
Review offering materials and fund documentation.
Subscribe
Complete subscription documents through the investor portal.
Deploy
If a subscription is accepted, capital is deployed under the offering documents. Website images are illustrative and are not Fund performance.
Report
Receive updates, reporting, and distributions expected monthly where practicable. Distributions are not guaranteed.
Operator-led capital deployment
The Fund is managed by Ascend Capital Partners LLC. Builder's Edge is the construction operator associated with the strategy. Operator experience is not Fund performance.

Christian Tirone
Managing Partner
Supports project execution, construction oversight, and field-level accountability across active deployments.
LinkedIn
John Urchak
Development Partner
Leads investment strategy, capital relationships, and the operating discipline behind Ascend Capital Partners.
LinkedInSocial
Follow along on Instagram
Selected updates are posted on Instagram. Those posts are not offering documents and are not Fund performance.
What qualifies me as an accredited investor?
An accredited investor meets SEC income, net worth, or professional credential thresholds. Checking a box on this website is not Rule 506(c) verification. Verification is a separate process before any investor is admitted.
How are distributions paid?
The manager expects to make distributions monthly where practicable, subject to available cash, expenses, and manager prudence. Distributions are not guaranteed.
What is the minimum investment?
The stated minimum investment is $50,000. Annual targeted preferred-return tiers are:
- $50,000–$74,999: 10.50%
- $75,000–$149,999: 10.75%
- $150,000 or more: 12.00%
Preferred return is calculated as simple interest and does not compound. Monthly distributions depend on available distributable cash and the Manager's determination that a distribution is prudent. Returns and distributions are not guaranteed. The current definitive offering documents control.
Am I investing in a specific house?
No. Investors acquire an interest in the Fund issued by ACP Management Partners LLC, not a direct interest in any property. Illustrative homes on this site are not Fund performance.
What is Ascend's relationship to Builder's Edge?
Builder's Edge is the construction operator associated with the strategy. Operator project experience is not Fund performance. Investors acquire an interest in the Fund issued by ACP Management Partners LLC, not a direct interest in any property.
What happens if I need to exit early?
The investment has a three-year initial lockup from the accepted capital contribution. This is a lockup, not a rate lock. Redemption is not available on demand after three years. Early exits are not guaranteed and are subject to the offering documents.
Where can I review fund documents?
Offering documents are provided only through the approved investor process after preliminary qualification. Checking a website form is not accreditation verification. Any offer is made only by means of a confidential Private Placement Memorandum.
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