Skip to content
Now accepting Q2 projects — limited slots available. Get started →
Francais English 日本語 中文 العربية Espanol 繁體中文 Nederlands Portugues Deutsch 한국어
Real Estate Enterprise
Investor PortalsFund Marketing SitesLP Dashboards

Développement Web en Private Equity Immobilier

Vos LPs jugent votre cabinet avant de lire votre PPM

< 1s
Time to Interactive
Edge-deployed globally
99.9%
Uptime SLA
Enterprise hosting
95+
Lighthouse Score
Every deployment
SOC 2
Compliance Ready
Audit-friendly architecture
What Your Portal Actually Does — And Why Excel Attachments Don't Cut It Anymore

Your LP opens the quarterly email attachment on their phone. The PDF won't zoom. The capital call schedule is buried on page nine. They forward the K-1 to their CPA from a coffee shop on airport Wi-Fi. Private equity real estate website development builds authenticated investor portals where your LPs log in, download documents under role-based permissions, track fund performance in real time, and access capital call history without a single email to your IR team. It means deal rooms with NDA gates and file-level activity logs. It means portfolio property maps that filter by asset class and vintage. Your institutional investors expect the same digital rigor you apply to underwriting — a 2015 WordPress template signals operational sloppiness before they ever see your returns.

Où les projets échouent

Your current site looks like a 2015 template and undermines LP confidence before the first meeting Institutional investors judge operational rigor by digital presence — a dated site signals a dated firm.
Investor documents live in email threads and shared drives with no access controls Sensitive K-1s, PPMs, and capital call notices are one forwarded email away from unauthorized access.
Fund performance data requires manual PDF creation every quarter Delayed reporting and human error erode LP trust and create compliance exposure.
No self-service portal means your IR team handles every document request by hand Investor relations staff burn hours on tasks a portal handles in seconds.
Your deal pipeline and property portfolio have no public-facing showcase Prospective co-investors and LPs can't evaluate your strategy without scheduling a call.
Mobile experience is broken — half your LPs check updates from their phone Unresponsive portals drive support tickets and signal technical incompetence.

Conformité

Role-Based Access Control

Granular permissions for LPs, GPs, co-investors, and internal teams. Every document and data point is gated by authenticated role with full audit logging.

SOC 2 Ready Architecture

Infrastructure designed for SOC 2 Type II compliance from day one. Encrypted at rest, encrypted in transit, with full access logs for audit trails.

Automated Fund Reporting

Connect your fund admin data to auto-generate quarterly performance dashboards. IRR, equity multiples, and distribution waterfalls rendered in real-time.

Secure Document Vault

PPMs, subscription docs, K-1s, and capital call notices stored in encrypted document management. Watermarked downloads with view tracking per investor.

Sub-Second Page Loads

Static generation and edge caching deliver institutional-grade performance. Marketing pages load instantly; authenticated portals feel like native apps.

SEO-Optimized Fund Pages

Strategy pages, team bios, and thought leadership content structured for search visibility. Attract qualified institutional interest organically.

Ce que nous construisons

Rebuild investor confidence with a portal that reflects institutional-grade operations

LPs evaluate fund performance, download K-1s, and track capital calls from a single authenticated dashboard

Eliminate email-based document distribution and shared-drive access sprawl

Deal rooms enforce granular file permissions and log every document view for compliance audits

Stop manually generating quarterly performance PDFs for every LP

Portfolio property cards display asset class, square footage, acquisition date, and strategy — filterable in real time

Free your IR team from handling repetitive document requests by hand

Fund marketing pages convert qualified prospects with strategy overviews, target returns, and gated interest forms

Showcase your deal pipeline and property portfolio to prospective co-investors

Team profiles with transaction history and realized returns build credibility the moment an investor lands

Fix the broken mobile experience that's driving LP support tickets

Your IR team publishes quarterly letters and market commentary without touching code through Sanity CMS

Notre processus

01

Discovery & IR Audit

We interview your IR team, review current investor communications, map LP personas, and audit competitor PE firm sites. Deliverable: a strategic brief and information architecture.
Week 1-2
02

Design & Portal UX

High-fidelity designs for the marketing site and investor portal. We prototype the LP dashboard experience, document vault navigation, and fund performance views for stakeholder review.
Week 3-4
03

Engineering & Integration

Next.js build with Auth0 authentication, Supabase for investor data, Sanity CMS for editorial content, and API connections to your fund admin or accounting platform.
Week 5-8
04

Security Review & QA

Penetration testing, role-based access validation, document permission audits, and cross-device QA. Every investor pathway tested against real LP scenarios.
Week 9-10
05

Launch & LP Onboarding

Production deployment with CDN configuration, investor migration support, and IR team training on the CMS and portal administration. 30 days of post-launch support included.
Week 11-12
Next.jsSupabaseVercelSanityMapboxAuth0Plaid

Questions fréquentes

Combien de temps faut-il pour construire un site web de private equity immobilier?

Un site de private equity immobilier axé sur le marketing est généralement livré en 6 à 8 semaines. L'ajout d'un portail investisseur complet avec des tableaux de bord authentifiés, des coffres-forts de documents et des rapports de performance des fonds prolonge le délai à 10 à 12 semaines. Chaque projet est dimensionné avec des délais et des jalons fixes afin que votre équipe IR puisse planifier les communications aux LPs autour du lancement.

Pouvez-vous intégrer avec la plateforme d'administration de notre fonds?

Oui. Nous construisons des intégrations API avec les principales plateformes d'administration de fonds incluant Juniper Square, InvestNext, et Yardi. Si votre administrateur fournit des exports de données, nous pouvons automatiser l'ingestion dans les tableaux de bord de rapports de votre portail. Pour les cabinets utilisant des systèmes comptables personnalisés, nous concevons une couche de données flexible acceptant les uploads CSV ou les connexions directes aux bases de données.

Comment gérez-vous la sécurité des documents investisseurs?

Chaque document est chiffré au repos et en transit. L'accès passe par des permissions basées sur les rôles — les LPs ne voient que leurs propres données et documents de fonds. Nous implémentons les téléchargements de PDF filigranés, le suivi des consultations et des journaux d'audit complets. L'architecture est construite pour supporter les exigences de conformité SOC 2 Type II dès le départ.

Avons-nous besoin de personnel technique pour mettre à jour le site après le lancement?

Non. Nous construisons sur Sanity CMS, qui donne à vos équipes IR et marketing une interface d'édition visuelle pour les biographies d'équipe, les pages de fonds, les commentaires de marché et les communiqués de presse. Les uploads de documents vers le portail investisseur utilisent une interface de glisser-déposer. Nous formons votre équipe pendant la semaine de lancement et fournissons une documentation pour chaque workflow.

Pouvez-vous construire un site qui serve à la fois des fonctions de marketing et de portail investisseur?

Absolument — c'est notre approche standard. Le site marketing public gère le SEO, le positionnement du cabinet et la capture de leads. Les utilisateurs authentifiés accèdent au portail investisseur via une connexion qui les dirige vers leur tableau de bord personnalisé. Les deux expériences partagent le même système de conception mais servent des publics et des objectifs complètement différents.

Qu'est-ce qui rend un site web de private equity immobilier différent d'un site corporate standard?

Les sites de private equity immobilier doivent servir deux publics à la fois: les investisseurs potentiels évaluant votre stratégie et les LPs existants gérant leurs engagements. Cela nécessite des portails authentifiés, une architecture de contenu spécifique aux fonds, une gestion de documents consciente de la réglementation et une visualisation de la performance — aucun des éléments que les templates standard ne gèrent. Le niveau de crédibilité est également significativement plus élevé qu'un site corporate typique.

PE Real Estate Sites from $14,000
Fixed-fee. Investor portal add-ons quoted separately. 30-day post-launch support.
See all packages →

Get Your PE Real Estate Site Assessment

We'll review your current site and deliver a scope estimate within 24 hours.

Get a Free Assessment
Get in touch

Let's build
something together.

Whether it's a migration, a new build, or an SEO challenge — the Social Animal team would love to hear from you.

Get in touch →