Private Wealth Fund LLC

 

 


 

 

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Our Business

Private Money BanCorp Inc. has unparalleled expertise providing the highest quality Private
Money Trust Deed Fund Management. We are the Fund Manager for Private Wealth Fund LLC, a
US$3/4 Billion Private Money Trust Deed Investment Pool.

Our core Management Team and Advisory Board focus on Market Valuation adjusted extensively
and conservatively for market conditions. Risk Mitigation is of paramount importance to the
Fund and features prominently as a major distinction in our investment strategies.


Private Money

Our Deal Flow Operations stem from a Prime Network of Industry Specialists, including Wholesale
Private Money Bankers and other Private Money Hedge Funds. This operation is particularly
active and forcible in large, complex and high profile deals.

The ability to objectively valuate and facilitate prompt funding are pivotal ingredients in enabling
us to achieve superior performance with controlled risks.

Private Money BanCorp Inc. provides the highest quality execution expertise on a diverse range
of Private Money Fund Management. Our Panel Network of Executive Board, Council and
Advisory Trust enhances our multi-party negotiations and affords us the agility to structure firm
and consensual private money deals profitably and expediently.


Contact numbers:
General line:                    (925) 275-8111
Investors:                       (925) 518-0878 or (925) 275-8111 ext. 228
Loan Scenarios/Brokers:     (925) 202-9942 or (925) 275-8111 ext. 222
Fax.:                              (925)275-8181
 
Electronic Mail:
Investors:                        Peggy@PWFLLC.com
Investor Relations:             Investor@PWFLLC.com
Loan Scenarios/Brokers:      Mike@PWFLLC.com
Direct Lending:                  Matthew@PWFLLC.com
Underwriting:                    UW@PWFLLC.com
Marketing:                        Scott@PWFLLC.com
DISCLAIMER: By entering this site you agree to be bound by the Terms and Conditions of Use.  This site and the information included herein is for general information purposes only and shall not constitute an offer to sell or the solicitation of any offer to buy which may only be made at the time a qualified accredited investor receives (i) a final Confidential Memorandum (the “Offering Circular”) and a Subscription Agreement (the “Subscription Agreement”) describing our fund. These are referred to collectively as the “Fund Documents.”  In the event of any inconsistency between this site and the Fund Documents, the Fund Documents will govern.