Every investment has a page investors see when they sign in: what the opportunity is, the terms, the timeline, and what to do next. You build it from structured blocks, publish it, and change it whenever the raise moves, without asking anyone to edit a template.
The editor gives you the sections a fund actually needs rather than an empty page and a hope. You choose blocks, fill them in, reorder them, and publish.
Because the page is part of the portal, it inherits your branding and sits directly alongside the subscription package, the data room and the wire instructions for that same investment.
Instead of a deck attached to an email, investors get a page that is current, in the portal where they will subscribe.
Structured blocks for terms, return scenarios and the capital stack mean the important numbers are presented consistently rather than buried in prose.
Editing the page updates what every investor sees, so there is no outdated version circulating.
No. The page is assembled from predefined blocks that already match your branding, so the work is choosing sections and writing the content. You can also start from a template built for your strategy.
Yes. Each investment has its own page and its own blocks, while all of them stay within your fund's branding.
Members of that investment, according to the same access rules as the rest of the portal.
The investment page sits alongside the package, the data room and the wire instructions.