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Adviser Profile

As of Date 01/12/2024
Adviser Type - Large advisory firm
Number of Employees 7 16.67%
of those in investment advisory functions 1
Registration SEC, Approved, 4/26/2023
Other registrations (4)
Former registrations

WILSHIRE QUINN CAPITAL, INC.

Client Types

- Pooled investment vehicles

Advisory Activities

- Portfolio management for pooled investment vehicles

Compensation Arrangments

- A percentage of assets under your management
- Performance-based fees

Recent News

Reported AUM

Discretionary
Non-discretionary
163M 139M 116M 93M 70M 46M 23M
2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypeOther Private Fund Count1 GAV$170,979,289

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Brochure Summary

Overview

Wilshire Quinn Capital has been in business since February 2004 and has been an investment adviser since 2008. Christopher Garcia is 100% shareholder of Wilshire Quinn Capital. He serves as the firm’s Chief Executive Officer, Chief Compliance Officer, and sole investment adviser representative. Description of Advisory Services Wilshire Quinn Capital serves as investment adviser to the Wilshire Quinn Income Fund, LLC (“the Fund”), a properly exempt-from-registration, pooled investment vehicle which began in September of 2011. The Fund is a portfolio lender that originates short-term bridge loans (primarily 12-18 months) on investment properties nationwide, with an emphasis on California. The Fund pays monthly distributions to its members and its borrower base ranges from corporations looking for rehab financing, to individuals who are looking to purchase or refinance an investment property. Loans are made or arranged by the Fund pursuant to its California Finance Lenders Law license #603J060. On January 1, 2021, the Fund established a real estate investment trust in the form of a subsidiary (“Sub-REIT”) by the name of Wilshire Quinn Income Fund REIT, LLC. It is the intent of the Fund to have the Sub-REIT hold all or substantially all of the assets, including loans, for purposes of maximizing the tax benefit. The Fund can also acquire, manage, remodel, develop, lease, repair and/or sell real property located throughout the United States, with focus in California. For purposes of this Form ADV Brochure, the term Private Fund has been defined by regulators to mean “an issuer that would be an investment company as defined in section 3 of the Investment Company Act of 1940 but for section 3(c)(1) or 3(c)(7) of that Act.” The offer and sale of interests in the Wilshire Quinn Income Fund are also exempt from registration as a public “security” under the Securities Act of 1933 and similar state laws.
Wilshire Quinn Capital serves as the sponsor and managing member of the Wilshire Quinn Income Fund. Thus, Wilshire Quinn Capital is not independent of the Wilshire Quinn Income Fund. See also Item 11 – Participation in Client Transactions and Personal Trading and Item 16 – Custody of this brochure for more information. A written agreement, which details the exact terms of the service has been executed between Wilshire Quinn Capital and the Wilshire Quinn Income Fund. Investors who wish to become Members in the Wilshire Quinn Income Fund will be required to execute a subscription agreement in order to subscribe for interests in the Wilshire Quinn Income Fund and will receive a Private Placement Memorandum, together with applicable supplements (the “PPM”) or similar documents/disclosures. Tailor Advisory Services to Individual Needs of Clients Wilshire Quinn Capital does not currently have individual, natural-person clients or institutional, company- clients. Wilshire Quinn Capital serves as the investment adviser solely to the Wilshire Quinn Income Fund and has no other clients. All management and investment decisions regarding the Wilshire Quinn Income Fund is based on its objectives, strategies, and policies. Wilshire Quinn Capital is responsible for all major investment decisions including, without limitation, amending or changing Wilshire Quinn Income Wilshire Quinn Capital, Inc. Page 5 Form ADV Part 2A: Firm Brochure Fund’s investment objective; determining investment strategies; and establishing and implementing investment policies or limitations. Assets Managed by Wilshire Quinn Capital As of December 31, 2022 , Wilshire Quinn Capital manages $162,632,534 in assets (loans and cash) through the Wilshire Quinn Income Fund. All assets are managed on a discretionary basis. See Item 15 – Investment Discretion for more information.