WCV Income Fund, LLC is a private real estate fund grounded in three decades of hands-on experience, disciplined capital management, and a genuine commitment to investor outcomes.
WCV Income Fund, LLC was formed on a foundational belief: sustainable investor returns are built through disciplined underwriting, operational excellence, and strategic diversification, not speculation.
The Fund is managed by experienced operators who have spent decades building, managing, and growing real estate portfolios across multiple markets and asset classes. That hands-on experience shapes every capital deployment decision and every opportunity the Fund pursues.
The Fund’s investment philosophy centers on capital preservation first. Every opportunity is structured to deliver consistent cash flow, reduce concentration risk, and build long-term value, regardless of where the market cycle stands.
Real Estate Portfolio
Under Management
Multifamily Units
Actively Managed
Additional Units Held
as Passive Interests
Years of Combined
Experience
The mission of WCV Income Fund, LLC is to acquire and develop carefully selected real estate assets designed to generate reliable cash flow and long-term value for investors. Through disciplined underwriting and strategic diversification across commercial and residential asset classes, the Fund provides accredited investors access to structured real estate opportunities built to deliver stable performance and predictable income.
The Fund was established to allow investors to benefit from leveraged real estate investment activities without the burden and liability of day-to-day property management. Capital is deployed by experienced operators. Investors receive structured, fixed-rate income.
WCV Income Fund, LLC operates across the full real estate investment lifecycle. From identifying and underwriting opportunities through development, construction, leasing, and asset management, the Fund maintains oversight at every stage. This vertical integration means fewer gaps, tighter execution, and more consistent outcomes for investors.
Our portfolio spans multiple asset classes and markets, including:
The Fund invests across Tennessee, Florida, Texas, and select high-demand markets nationwide, positioning the portfolio for geographic diversification and resilience across economic cycles.