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Text Content

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SENTINEL OPPORTUNITY FUND 1



Sentinel Net Lease, LLC is launching its latest real estate investment vehicle,
Sentinel Opportunity Fund I, LLC. During this time of market uncertainty,
Sentinel will leverage its capabilities and track record to take advantage of
favorable industry tailwinds and the compelling risk-return profile of
stabilized office, retail, and industrial properties. The target size of this
Fund is $100MM and it will serve as the primary acquisition vehicle for Sentinel
Net Lease transactions until the full deployment of all Fund capital. 

DOWNLOAD FUND INVESTMENT SUMMARY

$100,000,000 Target Fund Size

Office, Retail, and Industrial

Stabilized Assets Only

Target Net IRR: 16% to 20%

Target Year 1 Cash-on-Cash: 8% to 11%

Quarterly Distributions


ABOUT THE FUND

Sentinel Opportunity Fund I, LLC (the “Fund” or “SOFI”) is a closed-end real
estate investment fund. The Fund is an actively managed portfolio of
privately-held commercial real estate assets. 

INVESTMENT PHILOSOPHY

Objective
Strategy
Thesis
Investment Management Team



Objective

The Fund aims to deliver returns that stem from both ongoing income and capital
appreciation, while maintaining minimal volatility and correlation with wider
market trends.

Thesis

Current market conditions are allowing buyers to acquire long-term stabilized
cash-flowing assets secured by leases to high-quality tenants at attractive
pricing. Sentinel plans to capitalize on herd behavior and conventional wisdom
that groups the entire office sector together with an overly negative sentiment,
regardless of location, quality, or mission-critical nature. We believe the high
interest rate environment will also provide ample opportunities in the
industrial and retail sectors, which are already enjoying strong macro
tailwinds. The cap rate expansion has allowed us to tighten our underwriting
metrics while achieving nearly double-digit cash-on-cash returns secured by
long-term leases. This allows us to offer investors a significant return of
invested capital, if not more, from contractual lease income alone.

Strategy

The Fund strategically invests in stabilized, income-generating office, retail,
and industrial properties across suburban locations throughout the United
States.

Investment Management Team

The Fund is managed by a seasoned executive team whose extensive knowledge,
analytical abilities, and strong execution skills converge to forge an
investment offering that's custom-designed for the discerning individual
investor. Sentinel Net Lease is a value-driven privately held real estate
operating company with assets under management exceeding $280MM. Our
tech-forward infrastructure that provides for best-in-class acquisitions, asset
management, and reporting.

Potential Benefits

Sentinel Opportunity Fund I has the potential to offer investors additional
benefits beyond our traditional single-asset syndications. The fund structure is
highly accretive to our strategy and operations:



Investment Diversification: 

Acquiring several assets through a diversified portfolio that spreads risk
across various office, retail, and industrial properties and geographic
locations.

INSTITUTIONAL ACCESS:

Non-institutional investors often lack the capital needed to participate in
larger, more lucrative deals. These larger deals typically come with economies
of scale and can potentially offer higher returns and lower relative risk.

Competitive Advantage:

By aggregating a large pool of capital, the fund may be able secure deals more
efficiently and often at better prices due to the ability to offer faster
closings and on an all-cash basis.

Simplified Tax Reporting and Accelerated Depreciation:

Instead of dealing with the complexities of tax reporting for multiple
properties, investors receive a single Form K-1 from the fund. Sentinel will
utilize cost segregation studies to accelerated depreciation when applicable for
additional tax benefits.

Alignment of Interest:

As the General Partner, Sentinel will continue its best-in-class efforts to
create alignment with its Limited Partners. Sentinel will commit up to $5MM of
its own capital into the fund and will employ a European-style waterfall that
prioritizes the return of capital to LPs before the GP starts receiving its
share of profits.

FUND ACQUISITION CRITERIA

PROPERTY CRITERIA



 * Office, Industrial, and Retail Properties

 * Single-Tenant Preferred

 * Minimum Occupancy: 85%

 * Target Cap Rate Range: 8.5% to 10.5%

 * Minimum Price: $5,000,000 to $40,000,000

 * All Acquisitions Below Replacement Cost

REAL ESTATE & LOCATION CRITERIA



 * Real Estate Use: Office (corporate & regional headquarters and
   mission-critical locations), industrial, retail.

 * Target Markets: Top 150 Metro Areas with strong demographics and/or growth
   characteristics.

 * Location: Suburban locations only. Easy access to highways and other major
   commercial services.

 * Parking: Parking ratio must exceed 4.0/1,000 SF for office.

 * Amenities and Services: Typically include on-site dining and fitness options,
   lobby/rooftop common areas, walking trails, etc.

 * Property Condition: Class A & B properties with little or no deferred
   maintenance.

TENANT & LEASE CRITERIA



 * Tenant Credit: Investment-grade and non-investment grade credit-rated tenants
   preferred. Large, financially stable non-rated companies also considered.

 * Lease Type: Absolute or triple-net (NNN) preferred. Double-net and modified
   gross leases are also considered.

 * Lease Term: 9+ Year Weight Avg. Lease Term target.

 * Rent Escalations: Rent escalations required.

 * Physical Occupancy: Must possess strong daily utility and physical occupancy
   characteristics.

 * Leasing Track Record: Expectation of “sticky” tenant to increase probability
   of lease renewal or strong ability to backfill space.



ABOUT SENTINEL



Assets Under Management

$280MM+

Square Feet

1.78MM

Net Cash-on Cash from Lease Income

11.9%

Avg. Net IRR on Completed Investment

35%

Fred Lewis

Co-Founder & Chief Executive Officer



Dennis Cisterna

Co-founder, Managing Partner, & Chief Investment Officer

A Brief Story About The Firm



Founded in 2019 by industry veterans, Fred Lewis and Dennis Cisterna, Sentinel
Net Leaseis a real estate investment firm that is focused on opportunistically
acquiring assets that produce ongoing cash-flow from long-term leases. These
assets are expected to be resistant to certain market disruptions while offering
potential outsized returns for investors. Our integrated business model creates
a competitive edge in the marketplace that provides sustainable, long-term value
to our investors.

 

In a post-COVID environment, we strive to understand the long-term viability of
the real estate we acquire by assessing the current utility and occupancy of the
building coupled with potential future demand.

 

Since our inception, Sentinel has made it a priority to improve the investment
experience for our investors to make smarter, more informed decisions related to
our current portfolio and future acquisitions. Advances in technology,
applications, and data analytics have made it possible for middle-market
investors like Sentinel to have access to the same tools as the largest
investment firms in the world. From data analytics to investor reporting,
Sentinel offers a best-in-class experience for our investors. While we take
pride in the numerous industry honors we’ve been awarded, the greatest
satisfaction comes from the positive feedback we receive from our investors.

LEARN MORE
TESTIMONIALS

Investor Eligibility & Compliance

WHO IS ABLE TO INVEST?

The Fund is a 506c offering. Investment in the Fund is limited to accredited
investors. All potential investors must be verified as accredited investors
through a third-party or other methods as selected by the manager. Sentinel
performs due diligence on every potential investors to ascertain their
eligibility and suitability including Anti-Money Laundering (AML) and Know Your
Customer (KYC) checks. Investors must certify the source of their Funds and
declare that they are not involved in any activities that could harm the Fund's
reputation or contravene any laws. Periodic recertification may be required
based on changes in regulations or the investor's circumstances

Read more

The full definition can be found on the SEC website. In summary, for an investor
to be considered accredited, they must either fit the following base criteria:
Individuals with a Net Worth Exceeding $1 Million: This does not include the
value of their primary residence. Individuals with an Income Over $200,000
Annually: Or $300,000 jointly with a spouse, in each of the prior two years,
with the expectation of earning the same or higher income in the current year.
Banks, Insurance Companies, Registered Investment Companies, Business
Development Companies, and Small Business Investment Companies: These are
considered accredited investors by virtue of their status. Employee Benefit
Plans: If the plan has total assets in excess of $5 million. Charitable
Organizations, Corporations, or Partnerships with Assets Exceeding $5 Million.
Trusts with Assets in Excess of $5 Million: Operated by a sophisticated person,
as defined by the SEC, to direct investment decisions. Entity Owned Entirely by
Accredited Investors: Any entity in which all of the equity owners are
accredited investors. Spousal Equivalents: This allows spouses to pool their
finances for the purpose of qualifying as accredited investors. Knowledgeable
Employees of Certain Private Funds: For private Funds, certain employees who
have intimate knowledge of the Fund's operations are also considered accredited
investors. Limited Liability Companies with $5 Million in Assets: LLCs meeting
this criterion are included as accredited investors. Family Offices with Assets
Under Management in Excess of $5 Million: And their family clients, as defined
under the SEC's family office rule.

FAQ



5940 S. Rainbow Blvd., Suite 400

Las Vegas, Nevada 89118

Investor Relations

investors@sentinelnetlease.com

410-205-9055

sentinelnetlease.com

 * Disclaimer

 * Privacy Policy

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Only accredited investors are eligible to invest in Sentinel Opportunity Fund I.

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Disclaimer

This presentation: (1) is solely for information purposes, (2) is confidential
and may not be reproduced in whole or in part or distributed except by
authorized representatives of Company described herein as Sentinel Opportunity
Fund I (the “Company”); and (3) does not constitute an offer of, or an
invitation to subscribe for or purchase, an interest in the Company and does not
constitute investment or any other advice. The offering of interests may only be
made through receipt of the Company’s definitive documentation including this
presentation, the Private Placement Memorandum and Operating Agreement of the
Company as well as the completion and acceptance by the Company or its manager
of a subscription agreement for the purchase of an interest (the “Offering
Documents”). For a discussion of the risks associated with an investment in the
Company, prospective Investors should carefully review the Offering Documents,
which describe the Company, including risk factors associated with the Company.
Any decision to invest in the Company must be based solely upon the information
set forth in the Offering Documents. Statements in this presentation that are
not statements of historical fact contain forward looking information. Any such
statements (“Statements”) inherently are subject to a variety of risks and
uncertainties that could cause actual results or events to differ materially
from those results or events predicted or anticipated by these Statements,
including any results described herein. Accordingly, any potential investor in
the interests should not rely on these Statements. These forward-looking
Statements speak only as of the date of this presentation. The Company and its
manager expressly disclaim any obligation or undertaking to update or revise any
of the information provided in this presentation. Certain information contained
in this presentation has been obtained from third-party sources other than the
Company. While such information is believed to be reliable for the purposes used
herein, no representations are made as to the accuracy or completeness thereof
and neither the Company nor its affiliates take any responsibility for such
information. No sale of interest will be made in any jurisdiction in which the
offer, solicitation or sale is not authorized or to any person to whom it is
unlawful to make the offer, solicitation or sale. In the case of any
inconsistency between the descriptions or terms in this presentation and those
contained in the Offering Documents, the descriptions or terms in the Offering
Documents will control. The interests in the Company have not been, and will not
be, registered under the U.S. Securities Act of 1933, as amended (the “U.S.
Securities Act”), or any state or other securities laws, and will be offered and
sold for investment only to qualifying investors pursuant to an exemption from
the registration requirements of the U.S. Securities Act and in compliance with
requirements of the U.S. Securities Act and in compliance with any applicable
state or other securities laws. The Company will not be registered as an
investment company under the U.S. Investment Company Act of 1940, as amended.
The interests in the Company have not been recommended by any U.S. federal,
state or non-U.S. securities commission or regulatory authority. Furthermore,
the foregoing authorities have not confirmed the accuracy or determined the
adequacy of this presentation. Any representation to the contrary is a criminal
offense. No comment is made about the treatment for taxation purposes of
payments or receipts in respect of the Company’s Class A Units. Each investor
must seek such tax or other professional advice as it considers necessary.
Prospective investors should inform themselves as to the legal requirements and
tax consequences within the countries of their citizenship, residence, domicile
and place of business with respect to the acquisition, holding or disposal of
the Class A Units offered by the Offering Documents, and any foreign exchange
restrictions that may be relevant thereto. Prospective investors should
carefully read the Offering Documents in determining whether an investment in
the Company is suitable. The Company’s investment program is speculative, and
investors must be able to bear the loss of their entire investment in the
Company.





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