The content on this website is provided for general informational purposes only. It does not constitute an offer to sell, or a solicitation of an offer to purchase, any securities. No part of this website should be relied upon as the basis for entering into any agreement, commitment, or investment transaction.
While we believe the information presented is accurate at the time of publication, it is provided without representation or warranty of any kind. Content may be updated, modified, or removed without notice and may not reflect the most current information available.
Lankin Investments Inc. (“Lankin,” “we,” “our,” or “us”) is the issuer of the securities described herein. Distribution of these securities is conducted through Parvis Invest Inc., which is registered as an exempt market dealer in the applicable Canadian jurisdictions.
Parvis Invest Inc. may trade in, advise on, or otherwise deal in securities of issuers that are related or connected to it, including Lankin. These relationships may give rise to potential conflicts of interest. Such conflicts are addressed through established compliance controls, policies and procedures, and required regulatory disclosures, including the Relationship Disclosure Document and other applicable filings.
Any investment described on this website is offered solely pursuant to the applicable offering documents, including the Offering Memorandum and subscription materials. In the event of any inconsistency between information presented on this website and the applicable offering documents, the offering documents shall prevail.
Prospective investors must review the complete offering materials carefully before making any investment decision.
Nothing contained on this website constitutes investment, financial, legal, tax, or accounting advice. You should consult with your own independent professional advisors and deal with a properly registered dealer in your jurisdiction prior to making any investment decision.
Certain securities, products, or services referenced on this website are available only in specific provinces or territories and only to investors who meet applicable eligibility criteria. Availability may vary by jurisdiction. Please refer to the relevant offering documents and consult a registered dealer for further information.
All investments involve risk, including the potential loss of all or part of the capital invested.
Securities of private issuers are generally illiquid. There may be no established secondary market for such securities, and no assurance that one will develop.
Distributions, where applicable, are not guaranteed. They may be reduced, suspended, or discontinued at any time and are dependent on various factors including, but not limited to, operating performance, financing arrangements, debt covenants, interest rates, working capital requirements, capital expenditures, taxation, and general economic or market conditions.
An investment should not be considered a complete investment program and should only form part of a diversified portfolio constructed in consultation with qualified advisors.
Past performance is not indicative of future performance. Investment values may fluctuate and may be worth more or less than the original amount invested.
Distributions of cash to investors are discretionary, are not guaranteed and are subject to change due to general business conditions, financial results and other factors. Past performance may not be indicative of future return. Targeted returns and targeted distributions are not guaranteed and are subject to performance assumptions and risk factors, including real estate and financing risks that are summarized in the Offering Memorandum, which may cause actual results to vary materially. Any forward-looking statements herein are subject to the assumptions and risk factors stated in the Offering Memorandum.
The fund utilizes financing strategies that expose the portfolio to elevated refinancing risk, interest rate risk, reduced financial flexibility, and potential adverse impacts under changing market conditions. Furthermore, assumed leverage terms may not be available at the time of acquisition or refinancing.
This website may contain forward-looking statements relating to anticipated future events, performance, strategies, or financial outcomes. These statements are based on assumptions and current expectations and are inherently subject to risks, uncertainties, and other factors that may cause actual results to differ materially.
This website contains disclosures that constitute forward-looking information under securities laws, including, without limitation, statements regarding projected performance, targeted rates of return, targeted distributions to investors and targeted geographical locations. This forward-looking information is based upon certain assumptions, including assumptions about real estate prices and opportunities, vacancy rates, trade relations between Canada and the United States and other jurisdictions and the ability of the Corporation to source renovation supplies and other products, economic conditions, interest rates, cap rates, the availability and cost of capital, government policy and operating costs.
There are risk factors that may cause actual results to vary materially from the results contemplated in the forward-looking information, including risks associated with: economic conditions, real estate markets, financing efforts, construction delays, cost overruns and regulatory challenges. Opinions, assumptions and estimates offered on this website constitute our judgement based on information and circumstances as of the date hereof and are subject to change. Estimates and forecasts derived from this website are subject to significant uncertainties and contingencies and may not be achieved. You should not place undue reliance on forward-looking information and actual results may differ materially from the forward-looking information herein. The foregoing statements expressly qualify any forward-looking information on this website.
Forward-looking statements speak only as of the date made and, except as required by applicable law, we undertake no obligation to update them.
Investors should carefully review the “Risk Factors” section of the applicable Offering Memorandum before investing.
Targeted total return includes anticipated net asset value appreciation and cash distributions, and is presented net of all management and profit-sharing fees, and before investor tax liabilities. The return is calculated as a time-weighted return.
Any performance data provided is for informational purposes only.
References to targeted returns, projected outcomes, illustrative scenarios, or estimated results are not guarantees of future performance. Actual results may differ materially.
Where hypothetical, back-tested, or pro forma results are presented, they are shown solely for illustrative purposes and are subject to inherent limitations. Such results do not reflect actual investor experience and should not be relied upon as a prediction of future returns.
There can be no assurance that any investment objective will be achieved or that an investor will receive any return of capital.
Any references to benchmarks or indices are provided for general comparison purposes only. Indices differ from private real estate investments in composition, volatility, liquidity, risk profile, and fee structure. Investors cannot invest directly in an index.
Comparisons to benchmarks are therefore limited in usefulness and should not be interpreted as a direct equivalency.
Investments may involve commissions, management fees, incentive fees, and other expenses. These costs will reduce overall returns and may differ between investors.
Complete details regarding fees and expenses are set out in the applicable offering documents. Investors should review these carefully before subscribing.
Lankin Apartment REIT includes a 30% profit sharing fee and Lankin Real Estate Growth LP includes a 7% performance fee.
Distributions characterized as a return of capital may not be sustainable. Such distributions are not taxable in the year of receipt but will reduce the investor’s adjusted cost base, resulting in a larger capital gain or smaller capital loss upon the eventual disposition of units. Investors should consult a tax professional regarding future tax liabilities. Reflects tax deferral, not exemption; CCA may be recaptured on disposition.
This website may include information obtained from third-party sources, public filings, industry publications, or internally prepared estimates.
Although such information is believed to be reliable, we do not independently verify third-party data and make no representation or warranty regarding its accuracy or completeness. Any estimates or forward-looking market commentary reflect our current views and are subject to change.
Such information should be considered alongside, and not as a substitute for, the applicable offering documents.
We may maintain a presence on third-party platforms, including social media networks, and may provide links to external websites for convenience.
We do not control third-party content and do not guarantee its accuracy, completeness, or timeliness. References to third-party content should not be construed as endorsements.
Content shared on our social media channels is intended for general informational and marketing purposes only and does not constitute investment advice, a recommendation, or an offer of securities.
Comments, testimonials, endorsements, or interactions by third parties are not representative of typical investor experience and are not indicative of future performance.
Information contained on this website is subject to revision without notice. Products or services described may be modified, withdrawn, or unavailable in certain jurisdictions at any time.
By accessing or continuing to use this website, you acknowledge and accept these terms and any updates to them.