Diligence-ready resources for allocators.
Baruk Private Credit Fund I is available to accredited investors as verified under Rule 506(c) of Regulation D. Below are the questions we’re asked most before a first conversation, and a direct path to the Fund’s offering materials.
View Investment Strategy & Underwriting ProcessCommon questions from allocators
Answers to what we’re asked most before a first conversation.
The offering is available only to accredited investors as verified under Rule 506(c) of Regulation D. Verification is completed prior to any investment.
Submit your information through the form below. Every inquiry is reviewed directly by the Managing Partner, and qualified investors receive the Fund’s Private Placement Memorandum and summary term sheet, including full offering structure and fee terms.
The Fund lends across revenue based lending, asset backed lending, and specialty finance, with every allocation underwritten first for capital preservation.
Capital is deployed into short duration instruments with contractual repayment structures, which limits mark-to-market exposure and creates frequent points to reassess credit quality, monitor collateral, and redeploy.
Baruk Private Credit Fund I is managed by Baruk Capital Group LLC, led by Managing Partner Joseph Kimbrough, with portfolio management support from a senior advisor providing oversight on underwriting discipline and portfolio construction.