Current Investment Offerings

Go beyond the public markets.
$400M+
Investor Capital Managed*
$800M+
Assets Under ManagemenT*
13+
Years Track Record*
$100M+
Investor Distributions Since Inception*
*As of May 2026

Explore Aspen's Offerings Based On Verticals

Aspen Credit

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Aspen Industrial

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Aspen Energy

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Aspen Multifamily

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Compare Our Current Offerings

Each fund is part of a dedicated investment vertical with its own thesis, leadership team, and track record. Click into any vertical to explore the full investment context.
Aspen Credit
Open

Aspen Private Credit Fund

An open-ended fund focused on providing credit and preferred equity to commercial real estate properties.

Return
10-13%
Min Investment
$100,000
Distribution
Monthly
Structure
Evergreen
Liquidity
Two Year Lock Up Period
Open

Aspen Income Fund

An open-ended residential mortgage fund acquiring discounted, real estate-secured loans across the U.S. Designed to deliver investors reliable current income at above-market returns.

Return
8.5% Annualized
Min Investment
$100,000
Distribution
Monthly
Liquidity
One Year Lock Up Period
Aspen Multifamily
Open

Aspen Legacy Fund

An evergreen multifamily fund focused on long-term, tax-efficient compounding growth.

Return
11 – 13%*
Min Investment
$100,000
Distribution
Compounded
Structure
Evergreen
Liquidity
Two Year Lock Up Period
Aspen energy
Closed

AHY

A residential mortgage fund providing fixed returns through highly selective purchasing of residential real estate notes. The fund owns a diversified portfolio of non-performing mortgages, purchased at deep discount, to produce above-market returns.

Investor Capital
$10M+
Status
Open-End
Successful Interest Payments
100%
Yield
8 - 12%

Trusted By Accredited Investors Nationwide

5.0
Based on 136 Google reviews
 
Salim Rowe
5 months ago
 
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5 months ago
 
Jason Lundgren
6 months ago
 
Beau Whitaker
2 months ago
 
Brian Childres
7 months ago

Ready to invest with Aspen?

Our team can walk you through each vertical, share fund materials, and discuss how Aspen fits within your broader portfolio.