Reporting

Transparency on a predictable cadence.

Every Dutch Estate Capital investor receives the same reporting package — clear, comparable, and delivered on the same calendar every quarter.

Quarterly investor pack

Delivered within 30 days of quarter-end. Includes fund-level NAV, distribution schedule, loan-to-value, debt service coverage, asset-level rent collection, and a written commentary from the managing partners.

Annual report

Audited financial statements signed by a Big Four firm, accompanied by a strategic letter, ESG metrics, and a forward-looking pipeline summary. Released ahead of the Amsterdam investor day each May.

Live dashboard

Investors with active commitments receive credentials to a secure dashboard providing near-real-time visibility on capital calls, distributions, and asset-level KPIs from our forecourt telemetry.

Ad-hoc disclosures

Any material event — acquisition, disposal, refinancing, or change in fund leadership — is communicated to all investors within five business days through a written notice.