Want a world where investing in real estate is as easy as opening a bank account?
Want a world where you can earn up to 15% APY?
Want a world where your investment was backed by hard collateral at 2/1?
It's not a dream... The Global Mogul Fund makes it a reality!
Want a world where investing in real estate is as easy as opening a bank account?
Want a world where you can buy, sell, and profit from hotels like stocks—with just 21 days’ notice.
Want a world where you can stay in luxury resorts you own, enjoy VIP perks, and build wealth while you travel?
*This chart illustrates the potential growth from continuous investments in early-stage startups, assuming compound interest over time. Please be aware that investments made through this platform carry significant risks, including but not limited to business, market, currency, economic, and political factors. The results shown are illustrative and do not reflect the actual performance of any Ballerz' early-stage startups on their tech platform, nor do they account for market or economic fluctuations. Past performance is not indicative of future results.
INTO $4MIL
Want to learn how to turn $100k into over $4,000,000? It's not a dream, it's MATH!
Here's the breakdown:
Invest $100,000
Earn 15% APY
Re-invest quarterly distributions
Hold for 25 years
The Result: Your $100,000 investment grows to over $4 MILLION in 30 years!
Welcome to the Global Mogul Fund… Invest with Confidence with a unique blend of institutional-grade investment strategies and real-world collateral protection, Global Mogul is redefining real estate investing for accredited investors.
10% APY – Start with $25,000+ (1-year hold, 30-day withdrawal notice)
12% APY – Invest $100,000+ (1-year hold, 60-day withdrawal notice)
15% APY – Go all in with $250,000+ (1-year hold, 90-day withdrawal notice)
Vetted Developers: We partner with top real estate developers who secure investments with prime properties.
Collateralized Loans: Developers secure funding by offering properties at a 2:1 asset-to-loan ratio, ensuring built-in protection.
Up to 15% APY: We pass the profits to you with 10-15% target annual cash yield through our 80 (LP) / 20 (GP) split.
Booming Market: Colombia now, Panama & Mexico next, across multifamily, commercial, hospitality, and STR assets.
Fail-Safe Exit Strategy: If a developer defaults, we take the property, finish the project, and sell or rent it.
The BVI Master Fund & Trust secures and grows your wealth with real estate-backed investments, collateralized lending, and global tax efficiency.
The BVI Feeder Fund lets non-U.S. investors invest tax-efficiently under Reg S and flow capital into the BVI Master Fund.
The Puerto Rico LP Feeder Fund is the U.S. gateway for accredited investors, leveraging Puerto Rico’s tax benefits with a familiar legal structure.
The Colombian SAS & Trust secures real estate collateral, ensuring legal control and investor protection.
This website contains predictive or “forward-looking statements” within the meaning of the Private Securities Litigation Reform Act of 1995. All statements other than statements of current or historical fact contained in this website, including statements that express our intentions, plans, objectives, beliefs, expectations, strategies, predictions or any other statements relating to our future activities or other future events or conditions are forward-looking statements. The words “anticipate,” “believe,” “continue,” “could,” “estimate,” “expect,” “intend,” “may,” “plan,” “predict,” “project,” “will,” “should,” “would” and similar expressions are intended to identify forward-looking statements. These statements are based on current expectations, estimates and projections made by management about our business, our industry and other conditions affecting our financial condition, results of operations or business prospects. These statements are not guarantees of future performance and involve risks, uncertainties and assumptions that are difficult to predict. Therefore, actual outcomes and results may differ materially from what is expressed or forecasted in, or implied by, the forward-looking statements due to numerous risks and uncertainties. Factors that could cause such outcomes and results to differ include, but are not limited to, risks and uncertainties arising from: our ability to raise sufficient capital to execute our business plan; expectations for the clinical and pre-clinical development, manufacturing, regulatory approval, and commercialization of our pharmaceutical product candidate or any other products we may acquire or in-license; our use of clinical research centers and other contractors; expectations for incurring capital expenditures to expand our research and development and manufacturing capabilities; expectations for generating revenue or becoming profitable on a sustained basis; expectations or ability to enter into marketing and other partnership agreements; expectations or ability to enter into product acquisition and in-licensing transactions; expectations or ability to build our own commercial infrastructure to manufacture, market and sell our product candidates; acceptance of our products by doctors, patients or payors; our ability to compete against other companies and research institutions; our ability to secure adequate protection for our intellectual property; our ability to attract and retain key personnel; availability of reimbursement for our products; expected losses; and expectations for future capital requirements. Any forward-looking statements speak only as of the date on which they are made, and we undertake no obligation to publicly update or revise any forward-looking statements to reflect events or circumstances that may arise thereafter, except as required by applicable law. Investors should evaluate any statements made by us in light of these important factors.
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