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Griffin Capital Company, LLC announced today the release of Griffin Institutional Access Real Estate Fund’s (the “Fund”) holdings summary as of April 1, 2021. With net assets of $3.89 billion, the Fund’s holdings represent a continued commitment to the portfolio management team’s 2021 high conviction themes— industrial, multifamily, and specialty properties, together with private real estate debt.
Griffin Capital Company, LLC (“Griffin Capital”), a leading privately-held alternative asset manager, announced the closing of its tenth land acquisition in a Qualified Opportunity Zone. Located in Silver Spring, MD, the land will be the site of a 375-unit, mid-rise apartment community. Griffin Capital will develop the property in partnership with The Bozzuto Group, a Maryland-based real estate developer and property manager that specializes in multi-family, and StonebridgeCarras.
EL SEGUNDO, California (March 19, 2021) – Griffin Capital Company, LLC announced today on behalf of Griffin Institutional Access Real Estate Fund (NASDAQ: GIREX, GCREX, GRIFX, GLREX, GMREX) the first quarter distribution of $0.339 for Class A, $0.325 for Class C, $0.344 for Class I, $0.336 for Class L, and $0.332 for Class M, or
Griffin Capital Company, LLC announced today that Griffin Institutional Access Real Estate Fund (the “Fund”) has made an additional investment into the life sciences sector in the form of a follow-on investment into one of the Fund’s existing life sciences private fund holdings.
By “Invest Like an Institution,” we mean that Griffin Institutional Access® Real Estate Fund allows individual investors access to portfolio strategies, investment vehicles, and sub-advisers that are typically only available to large institutional investors such as banks, insurance companies, endowments, and pensions.
By “Your Public and Private Real Estate Investment Solution,” we mean that Griffin Institutional Access® Real Estate Fund, which offers investors a blend of public and private real estate investments selected and managed by leading institutions (the Fund’s sub-advisers) delivers an investment solution. This Fund, because it provides an array of potential benefits from current income to less volatility and modest market correlation to pricing transparency and periodic liquidity, is a ’solution.’
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