Haven Capital Ventures Inc and the family of Haven Funds operate a website at HavenCapitalVentures.com (the “Site”). The information contained on the Site neither constitutes an offer for nor a solicitation of interest in any securities offering; however, if an indication of interest is provided, it may be withdrawn or revoked, without obligation or commitment of any kind prior to being accepted following the qualification or effectiveness of the applicable offering document, and any offer, solicitation or sale of any securities will be made only by means of a private placement memorandum, or prospectus and related operating agreement and subscription documents. No money or other consideration is hereby being solicited. It will not be accepted without such potential investor having been provided the applicable offering documents, and with respect to Regulation D offerings, such offering document being registered with the SEC and the sale of such securities being permitted by state law. Joining the Site neither constitutes an indication of interest in any offering nor involves any obligation or commitment of any kind.
PAST PERFORMANCE IS NO GUARANTEE OF FUTURE RESULTS, AND ANY EXPECTED RETURNS OR HYPOTHETICAL PROJECTIONS MAY NOT REFLECT ACTUAL FUTURE PERFORMANCE. FURTHERMORE, PAST RETURNS MAY REFLECT THE PERFORMANCE OF ASSETS FOR A FINITE TIME, OR DURING A PERIOD OF EXTREME MARKET ACTIVITY. ALL INVESTMENTS INVOLVE RISK AND MAY RESULT IN PARTIAL OR TOTAL LOSS. There can be no assurance that an investment mix or any projected or actual performance shown on the Site will lead to the expected results shown or perform in any predictable manner. It should not be assumed that investors will experience returns in the future, if any, comparable to those shown or that any or all investors on the Site experienced such returns.
In considering any performance information shown on the Site, one should bear in mind that past or targeted performance is not indicative of future results, and there can be no assurance that any issuer will achieve comparable results or that target returns will be met. One should also bear in mind that targeted portfolio characteristics are not indicative of future results, and there is no assurance that target portfolio characteristics will be achieved.
References to “Targeted IRR” and “Targeted Equity Multiple” may represent a property’s internal rate of return (“IRR”) or equity multiple based on such property’s forecasted cash flows generated over a period of time and the amount invested in the property. This may differ from the forecasted IRR or Equity Multiple to the investor in an applicable fund or other investment vehicles.
PROJECTED AND/OR HYPOTHETICAL PERFORMANCE DOES NOT REPRESENT AN ACTUAL INVESTMENT IN ANY OF THE OFFERINGS SPONSORED BY HAVEN CAPITAL VENTURES INC OR THE PRESENT AND FUTURE HAVEN FUND OFFERINGS, MAY NOT REFLECT THE POTENTIAL EFFECT OF MATERIAL ECONOMIC AND MARKET-RELATED FACTORS, AND DO NOT REPRESENT THE ACTUAL PERFORMANCE OR EXPERIENCE OF ANY GIVEN INVESTOR IN ANY HAVEN FUND OFFERING SHOWN ON OUR WEBSITE. Nothing contained on the Site should be deemed a prediction for the projection of the future performance of any issuer. Prospective investors should make their own investigations and evaluations of the information contained herein. Each prospective investor should consult its own attorney, business adviser, and tax adviser as to legal, business, tax, and related matters concerning the information contained herein and such offering.
The information shown on the Site uses or includes information compiled from sources outside of Haven Capital Ventures Inc, the Haven Family of Funds, and its affiliates. While such information is believed to be reliable for the purposes used herein, neither Haven Capital Ventures Inc nor any of its affiliates or partners, members, or employees, assume any responsibility for the accuracy of such information. Unless otherwise indicated, the information on the Site has not been reviewed, compiled, or audited by any independent third-party or public accountant.
Actual investors on the Site may experience different results from any hypothetical results shown. There is a potential for loss, as well as gain, which is not reflected in the hypothetical information portrayed. The hypothetical performance results shown do not represent the results of actual investment activity but were achieved by means of the retroactive application of a model designed with the benefit of hindsight. Investors should carefully review the additional information presented on the Site as part of any hypothetical calculation.
The offerings available on the Site, except where otherwise indicated (i.e. Regulation D offerings), are only open to independently verified “accredited investors,” in accordance with Rule 506(c) under Regulation D of the Securities Act of 1933 as amended, pursuant to each issuer’s private placement memorandum, or prospectus. Prior to investing, you will be asked to independently verify your “accredited investor” status, except where otherwise indicated.
Offers to sell, or solicitations of offers to buy, any security can only be made through official offering documents that contain important information about investment objectives, risks, fees, and expenses. Investors are encouraged to consult with a financial advisor, attorney, accountant, and any other professional that can help them to understand and assess the risks associated with any investment opportunity.
Some of the statements contained on the Site are forward-looking statements. You should not rely upon forward-looking statements as predictions of future events. These statements involve known and unknown risks, uncertainties, and other factors that may cause the project’s actual results, levels of activity, performance, or achievements to be materially and adversely different from any future results, levels of activity, performance, or achievements expressed or implied by these forward-looking statements. An investment in any issuer available on the Site involves substantial risks, including the risk of a partial or total loss of investment, and each investor should carefully consider the Risk Factors contained in each issuer’s offering circular, private placement memorandum, or prospectus. Except as required by law, neither we nor any other person assumes responsibility for the accuracy and completeness of the forward-looking statements. We undertake no obligation to update publicly any forward-looking statements for any reason to conform these statements to actual results or to changes in our expectations.
The information presented regarding each issuer’s offering, including information regarding financial status, business strategy, investment objectives, historical performance, projections, redemption plans, etc., merely constitutes a summary of such information and is qualified in its entirety by the disclosure contained in each issuer’s offering circular, private placement memorandum, or prospectus. There can be no guarantee that any issuer available on the Site will achieve its business objectives or that it will become profitable.
Securities sold by Haven Capital Ventures and the Haven family of Funds are not publicly traded and, therefore, are illiquid unless registered with the SEC. Additionally, securities sold through private placements may be subject to restrictions on resale or transfer including holding period requirements. Investing in private placements requires high-risk tolerance, low liquidity need, and long-term commitments. Users must be able to afford to lose their entire investment.
All information contained in the Site has been prepared without reference to any particular investor’s investment requirements or financial situation. The Site may not be used by any person or entity in any jurisdiction where the use thereof would be contrary to applicable laws, rules, or regulations of any governmental authority, regulatory or self-regulatory organization, or clearing organization.
Neither the SEC nor any state securities commission or regulatory authority approved, passed upon, or endorsed the merits of any investment on the Site.
All ratings and reviews are provided to various independent social media sites voluntarily. The average rating review is determined by the various independent social media sites, and not by Haven Capital Ventures Inc, the Haven family of Funds, or any of its affiliates. Ratings and reviews are added continuously to the independent social media sites and average ratings are updated by the independent social media websites and not by Haven Capital Ventures Inc.
The ratings and experience of investors may not be representative of the experiences of all investors and is not indicative of any future success. The accuracy ofthe information included in the ratings and reviews cannot be guaranteed by Haven Capital Ventures Haven Inc or any of its affiliates.
*Investing involves risk, including loss of principal. Past performance does not guarantee or indicate future results. Any historical returns, expected returns, or probability projections may not reflect actual future performance. While the data we use from third parties is believed to be reliable, we cannot ensure the accuracy or completeness of data provided by investors or other third parties. Neither Haven Capital Ventures nor any of its affiliates provide tax advice and do not represent in any manner that the outcomes described herein will result in any particular tax consequence. Offers to sell, or solicitations of offers to buy, any security can only be made through official offering documents that contain important information about investment objectives, risks, fees, and expenses. Prospective investors should consult with a tax or legal adviser before making any investment decision.
For additional important risks, disclosures, and information, please visit Disclosure and Privacy Policy.
All rights reserved © 2023 HAVEN CAPITAL VENTURES INC
Our Chief Executive Officer (CEO), Fund Co-Manager, Thomas Miller, has extensive experience in real estate investing, development, and all facets of MHC ownership and operations. He is a co-founder of Haven Capital Ventures Group, another fund he, Mr. Quire, and others started in 2019 o buy MHCs. Tom is the managing broker and co-owner of Sellstate Tropical Waters Realty. He is an accomplished real estate author and he has been an innovator and early adopter of many business trends. He is also an accomplished pilot. Mr. Miller has a knack for spotting business trends and innovative opportunities in the earliest stages of a company’s development. His experience presents a unique insight into creative funding and operating methods that clearly translate to the fundamental needs of MHC investment and operations. This expertise has been crucial to building upon his experience in the real estate sector and paved the way to authoring an Amazon, Best-Selling, Real Estate Investing collaboration.
David joins the Haven team with more than two and half decades of real estate experience. David is a licensed broker in California and was previously a broker in Illinois and Ohio. He has worked in every facet of the industry during that time, primarily focusing on investment Real Estate, syndication, and portfolio management. He has worked on Real Estate deals throughout the United States and globally. David brings to the Haven team a vast network of investment opportunities and a tech-savvy team that keeps our company on the cutting edge. He is the founder and CEO of The Romanoff Group, a real estate and investment management company specializing in investment portfolio management, commercial Real Estate, and residential & commercial Real Estate development. Additionally, The Romanoff Group consults in Technology, Software Development, Capital Investment, and Start-Ups.
Anthony Todd Quire, our Chief Operating Officer (COO), and a 2005 Graduate of Kentucky State University. He has been a commercial real estate investor since 2008 specializing in distressed multi- family properties and MHCs. He has acquired over 8 MHPs with partners and oversees the acquisition, turnaround, and operations of our fund’s properties. Anthony is COO of Haven Capital Ventures Group, CEO and owner of ATQ LLC, managing partner Sonnier Mobile Estates LLC, and Sonnier Affordable Housing, all in the MHC sector. He was recently on a podcast with Frank Rolfe founder of MHU. He participates in day-to-day operations as well as helping manage and operates each mobile home park. He owns and operates a multi-million-dollar portfolio and has been very successful in acquiring and turning around MHPs as well as remodeling mobile homes. He has worked as a special education teacher. He has a passion for helping others and puts God first in everything he does. He is married with two beautiful daughters, a father, and an active elder in his church. His motto is, “Put God First and Expect the Unexpected.”
The Fund Co-Manager, and Chief Financial Officer / Chief Investment Officer (CFO/CIO) brings prior experience within the same roles for a top 25% Inc. 5000 company and top 5 largest MHC portfolios in the US. Brad currently is the Founder and President of Cloverleaf Capital Group; an MHC focused acquisition and financing consultancy. In his former CFO role, Mr. Rymer helped direct asset operations’ financial and accounting activity, capitalized by 16 private funds embodying over 1,500 investors. Alongside the CFO role, he served as the company’s Business Intelligence Officer in 2018 throughout the transitional capitalization with a Top 20 PEI 300, International Private-Equity firm. Over the past 25 years, Mr. Rymer has successfully been a driver in a myriad of investment funding structures spanning all commercial real estate classes ranging from acquisitions, refinancings, developments, joint venture partnerships, and other strategic capital structures.
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