Call Recording
https://youtu.be/kVJJiObfc9o
Slide Deck
_Dynamo Capital Fund Q&A May 2025.pdf
June 2025 Fund Update
The Dynamo Capital Fund delivered strong performance in June, continuing its track record of solid returns. Through Property Llama's strategic use of pooled capital to negotiate enhanced terms, PL Dynamo 2 achieved returns of 1.87-2.10% for June, varying by share class. This applies to all investments into PL Dynamo 2 made on or before 6/1/25.
Annualized Performance Tracking
The fund's momentum remains robust across all share classes tracking, by class at:
- Class A: 22.31% annualized return**
- Class B: 24.30% annualized return**
- Class C: 25.15% annualized return**
These results demonstrate the continued value of Property Llama's pooled capital approach in securing favorable investment terms for our fund participants.
You can read more about the specifics in the included Update from Dynamo at the end of this email. This month, the Dynamo team highlights: strategic expansion into the Colorado market with their first two loans funded, continued refinement of their DSCR loan sales process targeting a 2-week turnaround, and strong pipeline growth with $10-11 million in prospective volume heading into July.
We encourage investors to read the updates and join our LIVE Fund Q&A on Thursday, July 17th at 11:00AM MST with our sponsors.
Distribution Details
- What will be my return for June?
Your exact dollar amount will be available shortly in your NAV Investor Portal.
- Class A: 1.87%*
- Class B: 2.04%*
- Class C: 2.10%*
- When will my return be sent? June distributions will be sent by the end of July. Please allow 3–5 business days (depending on your financial institution) for processing and posting to your account.
- If you elected to Reinvest your distributions, the reinvested amount will be added to your capital balance and begin earning additional returns on the 1st of the following month.
Key Fund Information
- Portal Status Update: Our new fund portal has been completed and is ready for use. NAV Consulting, our Fund Administrator, is working to onboard investors upon their first distribution. Portal access emails will be sent following your first investor statement. Please note that distributions will not be delayed due to portal access setup. If you have specific questions about your investment or portal access, please reach out to *[email protected]* or any member of our team.