For professional investors only. Capital at risk. See disclosures.
TORTUGA

Shelf

Issuances.

Product-level disclosures — asset names, ISINs, indicative returns, offering memoranda — are restricted to qualified investors. This page shows the shape of the closed-book record and the forward pipeline; concrete terms become available after qualification.

Executed through Estating Property Vault S.A. — the underwriting, servicing, and distribution infrastructure that Tortuga inherits. Tortuga's own on-chain issuances begin pre-summer 2026.

Closed-book footprint

4 live bonds

Issuer
Estating Property Vault S.A.
Strategies
Opportunistic land bankingBuild-to-core multifamilyCore+ industrial logisticsHospitality
Geographies

United States (Sun Belt, Iowa, Arizona)

Dominican Republic

Asset names, ISINs, and realised performance are disclosed to qualified investors under NDA during diligence.

Why details are gated

Product-level disclosures — asset names, ISINs, indicative returns, offering memoranda — are restricted under Luxembourg well-informed investor rules and Reg S distribution constraints. Complete the qualification questionnaire to unlock the full closed-book record and the upcoming pipeline with financial terms.

Next book-building window: Q2 2026

Specific date disclosed to registered qualified investors via bi-weekly update.