Effective Date: October 23, 2025

Last Updated: October 23, 2025

Open Doors Partners (“we”, “our”, or “us”) provides access to private investment opportunities under U.S. securities regulations. By accessing this site or any associated materials, you agree to the following disclosures:

1. Accredited Investor Requirement

Participation in investment opportunities offered by Open Doors Partners is strictly limited to accredited investors, as defined under Rule 501 of Regulation D of the U.S. Securities Act of 1933. If you are unsure of your accreditation status, please consult a licensed financial advisor, CPA, or legal professional before proceeding.

2. SEC Rule 506(b) Compliance

All offerings are conducted under Rule 506(b) of Regulation D. These are private placements exempt from registration with the U.S. Securities and Exchange Commission (SEC). No general solicitation or public advertising is conducted. All investors must have a pre-existing, substantive relationship with Open Doors Partners prior to viewing or participating in any offering.

3. No Offer to Sell or Solicitation

The content of this website, brochure, emails, or any other communication from Open Doors Partners is not an offer to sell or a solicitation to buy securities. Offerings are made only via formal private placement memoranda (PPMs) and associated legal documents provided to qualified investors upon request.

4. Use of Special Purpose Vehicles (SPVs)

Investments are structured through Special Purpose Vehicles (SPVs) governed under a Delaware Series LLC framework. Each SPV is ring-fenced, and investors participate only in the specific portfolio company or asset associated with that SPV. SPV documentation will include risk factors, fees, rights, and restrictions.

5. Risk of Investment

All investments carry risk, including the risk of total capital loss. Private investments are speculative, illiquid, and often involve long holding periods. No assurance is given that any investment will achieve its objectives or return any capital.

Past performance is not indicative of future results.

6. No Financial or Legal Advice

Open Doors Partners does not provide investment, legal, or tax advice. All decisions should be made in consultation with your independent financial advisors, attorneys, or tax professionals. We do not act as a fiduciary or advisor in any capacity.

7. IRA & Retirement Account Investments

Open Doors Partners accepts investments via Self-Directed IRAs (SDIRAs) and retirement accounts through approved custodians. Investors are solely responsible for verifying eligibility, custodian requirements, and any associated tax implications.

8. No Guarantees or Endorsements

We do not guarantee the accuracy, completeness, or timeliness of any information shared on this site or through communication channels. We do not endorse any third-party investment or service providers mentioned.

9. Confidentiality

All materials shared by Open Doors Partners are confidential and for the exclusive use of the recipient. These may not be reproduced, forwarded, or shared without our express written consent.

10. Jurisdiction & Governing Law

All offerings are governed under Delaware law, and any disputes are subject to resolution via binding arbitration under the rules of the American Arbitration Association (AAA), unless otherwise stated in SPV legal documents.

11. Forward-Looking Statements

Statements made on this website, in brochures, or during investor conversations may contain forward-looking statements, including expectations regarding performance, exits, or returns. These are not guarantees and involve known and unknown risks. Actual results may differ materially.

12. Contact

For any legal or compliance-related questions, please contact:
📧 hello@opendoorspartners.com
🌐 www.opendoorspartners.com