Skip to content
logo
Search
Close this search box.
(800)865-9011

Yieldi

Connect. Borrow. Invest. Why Yieldi? All Yieldi offerings are asset-based, meaning your investment is backed by validated collateral such as a Real Estate, Commercial and Residential property. This collateral acts as principal protection in the unlikely case a borrower defaults.

Construction Loan
New Construction

Property Types 2-4 Units, SFR
Lendding Area NATIONWIDE
Loan amount Minimum $350,000
Loan amount Maximum $25,000,000
Lien Position 1st
Updated as of 2024-09-11

Bridge Loan

Property Types 2-4 Units, Cannabis Related, Industrial, Retail, SFR
Lendding Area NATIONWIDE
Loan amount Minimum $350,000
Loan amount Maximum $25,000,000
Interest Rate Minimum 11%
Interest Rate Maximum 14%

Rehab Loan
Rehab loans

Property Types 2-4 Units, SFR
Lendding Area NATIONWIDE
Loan amount Minimum $350,000
Loan amount Maximum $25,000,000
Lien Position 1st
Updated as of 2024-09-11

Bridge Loan
Bridge

Property Types Industrial, Land Entitled, Retail, Self-Storage, SFR, Warehouse
Lendding Area NATIONWIDE
Loan amount Minimum $350,000
Loan amount Maximum $5,000,000
Interest Rate Minimum 12%
Points Minimum 1st TD 2.5
Terms 1 year
Credit Score Min 620
Entities LLC - Limited Liability Corporation
Lien Position 1st
Max Points Charge by Broker 2
Prepayment Penalty 6 months
Reserve Requirement 6 months
General Pricing or Guideline info Land (up to 50% LTV, fully entitled, & on case by case basis) A&D (50% on Acquisition and 60-65% on Development)
Updated as of 2024-09-11

Summary of all Guidelines

Loan Types Bridge Loan, Private Money
Property Types 2-4 Units, Automotive, Cannabis Related, Industrial, Mixed use, Multi Family, Office, Retail, Self-Storage
Lendding Area alabama, arizona, arkansas, california, colorado, connecticut, delaware, florida, georgia, idaho, illinois, indiana, iowa, kansas, kentucky, louisiana, maine, maryland, massachusetts, michigan, minnesota, mississippi, missouri, montana, nebraska, nevada, new-hampshire, new-jersey, new-mexico, new-york, north-carolina, ohio, oklahoma, oregon, pennsylvania, rhode-island, south-carolina, tennessee, texas, utah, vermont, virginia, washington, west-virginia, wisconsin, wyoming
Loan amount Minimum $500,000
Loan amount Maximum $2,500,000
Interest Rate Minimum 12%
Points Minimum 1st TD 2.5
Terms 1 year
Prepayment Penalty -, 6 months
LTV Bridge 70
LTC Construction 70
Upfront Fees Appraisal, Document Review, Environmental, Underwriting, Upfront Deposit
LTC Rehab 70
Personal Guarantee /Recourse Required Personal Guarantee Required / Recourse
Percentage of Budget Financed - Rehab 80
LTC Percentage of Budget Financed 80

Yieldi is located in Atlanta, GA. They offer financing for Bridge Loans and Private Money. The property type they primarily lend against is Multi Family, Automotive, Industrial, Mixed use, Office, Retail, Self-Storage, Cannabis Related and 2-4 Units. Their minimum loan amount is $500,000. Their maximum loan amount is $2,500,000. They offer loans for a minimum Term of 6 months. Maximum duration of 1 year. Although rates can change they are typically lending at a minimum rate of 12%. Points charged are deal specific, but historically have charged a minimum of 2.5.

These descriptions are limited information and meant for general reference purposes.
Atlanta, 
GA
Copyright © 2024 Yieldi. THIS PRESENTATION FOR YIELDI, LLC (THE “FUND”) AND ANY APPENDICES OR EXHIBITS IS PROVIDED TO YOU ON A CONFIDENTIAL BASIS AT YOUR REQUEST FOR INFORMATIONAL PURPOSES ONLY AND IS NOT, AND MAY NOT BE RELIED ON IN ANY MANNER AS, LEGAL, TAX OR INVESTMENT ADVICE OR AS AN OFFER TO SELL OR A SOLICITATION OF AN OFFER TO BUY AN INTEREST IN THE FUND. THIS PRESENTATION IS CONFIDENTIAL AND IS ONLY BEING PROVIDED TO “ACCREDITED INVESTORS” WITHIN THE MEANING OF THE SECURITIES ACT OF 1933, AS AMENDED. RECIPIENTS OF THIS PRESENTATION MAY NOT REPRODUCE, REDISTRIBUTE OR PASS ON, IN WHOLE OR IN PART, IN WRITING OR ORALLY OR IN ANY OTHER WAY OR FORM, THIS PRESENTATION OR ANY OF THE INFORMATION SET OUT HEREIN. A private offering of Borrower Payment Dependent Notes (“Notes” or “Note”) will only be made pursuant to a confidential private placement memorandum (the “Offering Memorandum”), each specific Note, and the Fund’s subscription documents, which will be furnished to qualified investors on a confidential basis at their request for their consideration in connection with such offering. This document does not purport to contain all the information that may be required to evaluate an investment in a Note and is subject to completion and amendment. Any prospective investor is advised to carefully review all of the Offering Memorandum, the Note, and the Fund’s subscription documents. Certain factual information has been obtained from third-party sources believed to be reliable but has not been independently verified. The Fund may change some terms of the Offering prior to finalization of the Memorandum. The information contained herein will be superseded by, and is qualified in its entirety by reference to, the Offering Memorandum, which contains additional information about the investment objective, terms and conditions of an investment in a Note or Notes and also contains tax information, information regarding conflicts of interest and risk disclosures that are important to any investment decision regarding a Note or Notes. No person has been authorized to make any statement concerning the Fund other than as set forth in the Offering Memorandum and a Note, and any such statements, if made, may not be relied upon. The information contained herein must be kept strictly confidential and may not be reproduced, redistributed or otherwise used without Yieldi, LLC’s express written approval. Each recipient, by accepting these materials, is deemed to agree to the foregoing, and to agree to return these materials promptly upon request. An investment in a Note or Notes of the Fund is highly speculative and involves significant risks, including potential loss of the entire investment. Before deciding to invest in a Note or Notes, prospective investors should pay particular attention to the risk factors contained in the Offering Memorandum. Investors should also have the financial ability and willingness to accept the risk characteristics of a Fund Note or Notes according to their terms. An investment in a Note or Notes is not suitable or desirable for all investors and only qualified eligible investors may invest in the Fund. Past performance is not indicative of future returns or Fund results. The views expressed herein represent the opinions of the Fund and are not intended as a forecast or guarantee of future results. Individual investment performance, examples provided and/or case studies are not indicative of overall returns of a Fund Note. In addition, there can be no guarantee of deal flow in the future. Some of the statements in this Presentation, including those using words such as “targets,” “believes,” “expects,” “intends,” “estimates,” “projects,” “predicts,” “anticipates,” “plans,” “pro forma,” and “seeks” and other comparable or similar terms are forward-looking statements. Forward looking statements are not statements of historical fact and reflect Fund’s views and assumptions as of the date of the Presentation regarding future events and performance. All forward-looking statements address matters that involve risks and uncertainties. Accordingly, there are important factors that could cause a Note or Notes actual results to differ materially from those indicated in these statements. The Fund believes that these factors include, but are not limited to, those described in the “Risk Factors” section of Fund’s Memorandum. The performance figures set forth in this document are provided to you with the understanding that, as a sophisticated investor, you understand the inherent limitation of such illustrations, will not rely on them in making any investment decision, and will use them only for the purpose of evaluating your preliminary interest in investing in a Note or Notes of the Fund. Any performance data represents past performance. Any performance information included in this document is for information purposes only. The Fund makes no guarantee that it will be able to achieve similar results. Targets are objectives and should not be construed as providing any assurance as to the results that may be realized in the future from investments in a Note or Notes of the Fund. HISTORICAL PERFORMANCE IS NOT AN INDICATOR OR GUARANTEE OF FUTURE RESULTS. No representation or guarantee is made that the Fund will or is likely to achieve its investment objectives or be able to avoid losses. This document contains selected information regarding transactions entered into by the Fund on behalf of other accounts and clients. The purpose of any historical information is to provide prospective investors with examples of investments the Fund has made in the market in which the Fund expects to invest and illustrate the types of investments that may be targeted by the Fund. Prospective investors should not rely on this information in making an investment decision, as the investments of the Fund in the past and the investments made in the future may be materially different from any historical investments. In view of the foregoing, there can be no assurance the Fund will make investments similar to those that may be described herein or be able to achieve comparable results or avoid losses. The Fund has not filed, nor does it currently intend to file, a prospectus or similar document with any securities regulatory authority. No securities regulatory authority has passed upon the value of an investment in a Note or Notes of the Fund, made any recommendations as to a purchase of any securities of the Fund, approved or disapproved of the offering of any securities of the Fund, or passed upon the adequacy or accuracy of this document. Any representation to the contrary is unlawful. This document does not constitute an offer or a solicitation in any jurisdiction to any person or entity to which it is unlawful to make such offer or solicitation in such jurisdiction. Prospective investors should make their own investigations and evaluations of the information contained herein. Prior to the closing of a private offering of a Note or Notes of the Fund, the Manager of the Fund will give investors the opportunity to ask questions and receive additional information concerning the terms and conditions of such offering and other relevant matters. Each prospective investor should consult its own attorney, business adviser, and tax adviser as to legal, business, tax and related matters concerning the information contained herein and such offering. Except where otherwise indicated herein, the information provided herein is based on matters as they exist as of the date of preparation and not as of any future date, and will not be updated or otherwise revised to reflect information that subsequently becomes available, or circumstances existing or changes occurring after the date hereof. AN INVESTMENT IN THE FUND INVOLVES RISK, AND NUMEROUS FACTORS COULD CAUSE THE ACTUAL RESULTS, PERFORMANCE OR ACHIEVEMENTS OF FUND TO BE MATERIALLY DIFFERENT FROM ANY FUTURE RESULTS, PERFORMANCE OR ACHIEVEMENTS THAT MAY BE EXPRESSED OR IMPLIED BY STATEMENTS AND INFORMATION IN THIS PRESENTATION. SHOULD ONE OR MORE OF THESE RISKS OR UNCERTAINTIES MATERIALIZE, OR SHOULD UNDERLYING ASSUMPTIONS PROVE INCORRECT, ACTUAL RESULTS MAY VARY MATERIALLY FROM THOSE DESCRIBED IN THIS PRESENTATION.