Your investment, reported clearly.

The Fajr Fund Investor Portal provides current investors with access to performance reporting, distribution history, fund documents, and property updates — in one secure, organized place.

Secure Access
Fund Documents
Portfolio Reporting
Distribution History

For current investors and approved prospects only.

Not yet an investor?

Book Investor Call
Portal Access

Who has access to the Investor Portal?

Current Investors

Investors who have completed subscription documents and contributed capital to Fajr Fund I or the Fajr Income Fund receive full portal access at onboarding.

Full reporting dashboard
Distribution history
All fund documents
Property update feed

Approved Prospects

Qualified prospects who have completed the intro call and received formal materials may receive limited access to review documents during the material review phase.

Offering document access
Fund overview materials
Reporting dashboard (post-investment)
Distribution history (post-investment)

Not Yet In The Process?

Portal access is granted through the investor onboarding process. The first step is an investor call to determine fit and discuss the Fajr Income Fund opportunity.

Book Investor Call

Takes 30 minutes. No obligation.

Portal Preview

What the investor dashboard looks like.

investor.fajrfund.com/dashboard
Investor
FF1 · Accredited
Welcome back
Fajr Fund I — Q4 2024 Reporting
Portal Active
Committed capital
$500K
Distributions YTD
$42.8K
Net IRR (illustrative)
12.4%
Performance trend Indexed · illustrative
Recent documents
Q4 2024 Investor Report
Download
Subscription Agreement
View
Operating Agreement
View
Investor Reporting

What reporting looks like.

Quarterly Investor Reports

Comprehensive quarterly reports covering portfolio performance, property updates, financial summaries, and market commentary.

Portfolio valuation update
Rental income summary
Expense and cash flow overview
Renovation status per property
Fund manager commentary

Distribution Statements

When distributions are issued per the fund's schedule, investors receive a clear statement detailing the distribution amount, source, and tax classification.

Distribution amount per unit
Payment date and method
Cumulative distribution history
K-1 tax document (annually)

Document Center

All fund documents, subscription agreements, operating agreements, property reports, and tax documents are stored and accessible in the portal's document center.

Offering memorandum
Subscription documents
Operating agreement
Tax documents (K-1)
Property-level reports
How To Get Access

The path to portal access.

01

Book an Investor Call

Start with a 30-minute structured intro conversation. We cover the fund strategy, answer your questions, and assess fit together.

02

Qualification & Materials

Confirm accredited investor status. Receive and review the official offering documents, PPM, and supporting materials.

03

Execute Subscription

Complete and sign subscription documents. Capital is transferred per the fund's closing schedule and wire instructions.

04

Portal Access Granted

Portal credentials are issued. You gain full access to the investor dashboard, reporting, document center, and portfolio updates.

Need login assistance?

If you are an existing investor and are having trouble accessing your portal account, or if you have questions about your reporting, distributions, or documents, contact us directly and we will respond promptly.

Contact the Fund Team
Response time Response within 1 business day