Countrywide Income Fund
Predictable Quarterly Cash Flow from Real Estate Credit Investments
Delivering stable income through senior debt, mezzanine financing, and preferred equity across carefully selected real estate opportunities nationwide.
10%
Annualized Target Return
Quarterly Distributions
01
Year Minimum Lock-Up
Evergreen Structure
Why invest in CCG Income Fund?
The Countrywide Income Fund is designed for investors seeking consistent quarterly cash flow backed by real estate assets. By focusing on senior debt, mezzanine positions, and preferred equity, this strategy prioritizes capital preservation while generating reliable income.
This fund is structured as an evergreen vehicle, allowing investors to remain invested long term while benefiting from rolling redemptions (subject to liquidity).
Investment Focus
- Senior secured real estate debt
- Mezzanine financing
- Preferred equity positions
- Income-producing real estate assets
Impact & Advantage
- Priority capital stack positioning
- Asset-backed investments
- Structured risk management
- Diversified nationwide exposure
Capital Stack Position
Senior debt, mezzanine debt, and preferred equity, positioned above common equity to reduce downside risk.
Quarterly Income
Designed to provide predictable quarterly distributions targeting 10% annually.
Evergreen Structure
Long-term capital vehicle allowing rolling redemptions with 90-day notice (subject to liquidity).
Moderate Risk Profile
Focused on capital preservation and consistent yield generation.
Reinvestment
Increase capital exposure and enhance long-term growth potential.
Compounding
Accelerating total portfolio growth through the power of compounding.
Testimonials
Our Satisfied Clients
Hear directly from investors, developers, and property owners who partner with Countrywide Capital. These real‑world stories highlight how our tailored financing solutions, responsive service, and reliable execution help clients close deals, grow portfolios, and achieve their real estate goals.
Looking for Another Strategy?
Not every investment strategy fits every portfolio. Discover our alternative real estate funds structured to deliver income, growth, or higher upside potential based on your investment goals.
Growth
CCG Growth Fund
Structured real estate development and value-add strategy targeting enhanced total returns through equity participation in sponsor-controlled projects, typically realized at refinance or asset sale.
15–18%
Target IRR
12–18 Month Typical Investment Horizon
OPPORTUNISTIC
CCG Opportunistic Fund
High-conviction real estate strategy focused on structured equity, control positions, and distressed or special situations designed to deliver asymmetric upside participation for sophisticated investors.
18–25%+
Target IRR
8% Preferred Return | 50/50 Profit Split
Explore More About Countrywide Capital
Discover our latest real estate investment opportunities, meet the team powering every decision, and stay informed with news and market insights from Countrywide Capital.
Market News & Insights
Stay up to date with real estate news, market commentary, and educational insights from the Countrywide Capital team.
Who We Are
Discover our mission, leadership, and commitment to delivering strategic real estate solutions that create lasting value.
Principal Sponsorship Support
We provide guarantor strength and structuring support to take qualified deals from submission to close.
Schedule a Meeting with CCG Investor Relations Team
Speak with our team to learn how the Countrywide Income Fund delivers predictable quarterly cash flow through structured real estate credit investments. We’ll walk you through returns, liquidity, and how this strategy fits into your portfolio.
Disclosure: The Countrywide Income Fund is a private real estate-backed investment vehicle designed to pursue income-oriented strategies. Targeted returns, distribution schedules, and yield projections are objectives only and are not guaranteed. Distributions are subject to available cash flow and may be modified, suspended, or discontinued at the Manager’s discretion.
Investments involve risks including borrower default, market fluctuations, interest rate risk, and illiquidity. There is no assurance of return of capital or achievement of targeted performance.
Securities are offered only to verified accredited investors pursuant to Regulation D Rule 506(c) and are made solely through the Fund’s Private Placement Memorandum and governing documents.