Our Track Record
Previous Opportunities
The multi-asset fund model reduces the overall volatility of the investment by diversifying across geographic markets and across asset strategies. This investment vehicle also offers a preferred rate of return to our investment partners – giving them a priority in cash flow distributions ahead of the Sponsor.

The fund strategy provides increased diversification which is the main benefit. Investing in real estate is like anything else. Diversification is critical.
– Current Investor
Fund IX
Vintage
2022
Fund Size
$85,000,000
Fund VIII
Distributions to Paid-In-Capital
.076x
Current Estimated IRR
18.53%
Vintage
2021
Fund Size
$58,000,000
Fund VII
Distributions to Paid-In-Capital
0.05x
Current Estimated IRR
5.12%
Vintage
2020
Fund Size
$80,000,000
Fund VI
Distributions to Paid-In-Capital
0.26x
Current Estimated IRR
11.7%
Vintage
2017
Fund Size
$51,450,000
Fund V
Distributions to Paid-In-Capital
0.54x
Current Estimated IRR
17.1%
Vintage
2015
Fund Size
$38,650,000
Fund IV
Distributions to Paid-In-Capital
1.20x
Current Estimated IRR
23.5%
Vintage
2013
Fund Size
$25,425,000
Fund III
Distributions to Paid-In-Capital
1.33x
Current Estimated IRR
21.8%
Vintage
2012
Fund Size
$17,075,000
Fund II
Distributions to Paid-In-Capital
1.69x
Current Estimated IRR
17.7%
Vintage
2010
Fund Size
$12,600,000
Fund I
Distributions to Paid-In-Capital
2.87x
Current Estimated IRR
19.7%
Vintage
2008
Fund Size
$8,325,000
Previous fund performance data updated as of 6/31/21
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