0001868516
IPO filing research

StratCap Digital Infrastructure REIT, Inc.

Real Estate Investment Trusts · STRAT

ipo priced OTC EFFECT

StratCap Digital Infrastructure REIT, Inc. IPO research page with SEC filing history, offering status, deal terms, structured filing extracts, company news, and comparable IPO context. Latest filing: EFFECT on 2026-04-28. Current deal snapshot: exchange OTC.

Filing Timeline

SEC EDGAR
EFFECT effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2026-04-28 · 9999999995-26-001346
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2026-03-31 · 0001104659-26-037904
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $30,971,138
Class D, Class I, Class S, Class T
2026-03-27 · 0001104659-26-036190
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $10.06 · Gross proceeds $30,971,138
Class I · Use of proceeds for working capital, acquisitions, and other general corporate purposes
2026-02-27 · 0001104659-26-021555
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2026-02-13 · 0001104659-26-015094
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2026-01-28 · 0001104659-26-007450
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $30,851,138
Class I, Class T
2025-12-31 · 0001104659-25-125668
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-12-23 · 0001104659-25-123882
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
2025-12-15 · 0001104659-25-121051
EFFECT effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2025-12-12 · 9999999995-25-003692
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-12-03 · 0001104659-25-118013
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $28,048,638
Class I, Class T
2025-11-26 · 0001104659-25-116339
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-11-21 · 0001104659-25-114926
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2,761,313 shares · Gross proceeds $28,048,638
Class I Shares, Class T Shares · Use of proceeds General corporate purposes including debt repayment and acquisitions
2025-11-14 · 0001104659-25-112671
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $575,000,000 · Gross proceeds $575,000,000
CLASS_D, CLASS_I, CLASS_S, CLASS_T · Exchange OTC · Ticker STRAT · Use of proceeds for acquisitions, working capital, and other general corporate purposes · Flags best_efforts · Underwriters StratCap Securities, LLC
2025-11-12 · 0001104659-25-110280
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $10.10 · Gross proceeds $3,800,000
Class I · Use of proceeds general corporate purposes
2025-11-06 · 0001104659-25-107551
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $24,178,938
Class I · Class I units in SWIF II Operating Partnership, LP · Use of proceeds general corporate purposes · Flags units
2025-10-31 · 0001104659-25-104779
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $10.10 · Gross proceeds $23,792,238
Class I · Exchange NASDAQ · Ticker SDIR · Use of proceeds Debt repayment, working capital, and acquisitions
2025-10-24 · 0001104659-25-102204
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $10.09 · Gross proceeds $24,178,938
Class I · Use of proceeds general corporate purposes
2025-10-08 · 0001104659-25-097828
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-09-29 · 0001104659-25-094380
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $10.09 · Gross proceeds $18,608,938
Class I · Use of proceeds To fund the company's operations, acquisitions, and other general corporate purposes · Flags units
2025-09-24 · 0001104659-25-092861
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-09-15 · 0001104659-25-090036
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-08-27 · 0001104659-25-083195
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-08-14 · 0001558370-25-011521
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-08-05 · 0001104659-25-074223
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $10.19 · Gross proceeds $9,637,750
Class I · Use of proceeds Proceeds will be used for debt repayment, working capital, and acquisitions.
2025-07-23 · 0001104659-25-070062
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $10.23 · Gross proceeds $13,142,853
Class I and Class T
2025-07-11 · 0001104659-25-067402
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-06-23 · 0001104659-25-061685
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $5,405,147
Class I, Class T · Use of proceeds For general corporate purposes, including acquisitions and operational needs
StratCap Digital Infrastructure REIT, Inc. updated its public offering status, disclosing an additional $2.4M investment by its sponsor, StratCap Investment Management, LLC, and revised distribution details. The company also announced a new principal executive office address in New York and updated stock ownership disclosures for directors, executives, and beneficial owners.
2025-06-09 · 0001104659-25-057878
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $10.24 · Gross proceeds $2,970,519
Class I, Class D, Class S, Class T · Use of proceeds Proceeds will be used for investments in real estate, real estate debt, and working capital · Flags vie_structure
This 424B3 filing updates the prospectus for StratCap Digital Infrastructure REIT, Inc.'s public offering, including revised portfolio metrics, offering prices, NAV per share calculations, and subscription agreement terms. It reflects updated occupancy rates for towers and data centers, revised NAV disclosures, and changes to New Mexico suitability standards. The filing also includes updated financial metrics and valuation methodologies compared to the previous supplement.
2025-05-23 · 0001104659-25-052081
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
290,000 shares · Gross proceeds $2,970,519
Class I and Class T · Exchange NASDAQ · Ticker STRAT · Use of proceeds debt repayment, working capital, and acquisitions · Underwriters self-underwritten
The current filing updates the status of StratCap Digital Infrastructure REIT, Inc.'s public offering, reporting acceptance of subscriptions for 280,552 Class I shares and 9,443 Class T shares, generating $2.87M and $100K in gross proceeds, respectively. It incorporates the Quarterly Report on Form 10-Q for the quarter ended March 31, 2025, reflecting financial performance and updated ownership disclosures. The previous filing focused on the sponsor's additional investment and revised risk factors related to sponsor incentives.
2025-05-16 · 0001104659-25-049883
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
StratCap Digital Infrastructure REIT, Inc. filed a 424B3 supplement dated May 9, 2025, updating disclosures related to an additional $2.67M investment by its sponsor, StratCap Investment Management, LLC, and revising risk factors, stock ownership details, and including its 2024 10-K report. The supplement replaces prior risk disclosures about sponsor incentives and updates ownership tables to reflect the sponsor's increased stake.
2025-05-09 · 0001104659-25-046664
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
The current filing updates the public offering status, portfolio metrics, offering prices, NAV per share, historical NAV, and distribution reinvestment plan for StratCap Digital Infrastructure REIT, Inc. It notes that no shares have been sold under the offering as of the filing date. Key updates include revised NAV calculations, adjusted offering prices for May 1, 2025, and modifications to the distribution reinvestment plan disclosure.
2025-04-21 · 0001104659-25-036683
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
StratCap Digital Infrastructure REIT, Inc. updated its prospectus supplement (424B3) to reflect the status of its public offering, distribution authorizations, portfolio metrics, offering prices, NAV per share calculations, suitability standards, share class differences, and subscription agreements. The filing highlights updated occupancy rates for towers and data centers, revised offering prices effective April 1, 2025, and revised suitability criteria for Massachusetts investors. The company also clarified distribution schedules and share class fee structures.
2025-03-24 · 0001104659-25-027034
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
The current filing updates the prospectus for StratCap Digital Infrastructure REIT, Inc.'s public offering, including portfolio metrics, NAV calculation methods, and subscription agreement revisions. It clarifies performance participation allocation timing and adjusts Kansas suitability standards. The offering remains unsold as of the filing date.
2025-03-04 · 0001104659-25-020246
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
Price $10.21
Class D, Class I, Class S, Class T · Class P Units, Class PX Units · Use of proceeds Debt repayment, working capital, and acquisitions · Flags units
StratCap Digital Infrastructure REIT, Inc. issued a prospectus supplement (424B3) updating details of its initial public offering. The supplement provides the offering price and transaction price for shares as of March 1, 2025, and discloses the January 31, 2025 net asset value (NAV) per share. The company has not yet sold any shares under the offering, which is registered for $575 million. The NAV reflects investments in real estate, a joint venture, and other assets, with specific details on valuation methodologies and assumptions.
2025-02-18 · 0001104659-25-014713
424B3 priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows S-11/A and confirms the priced prospectus.
StratCap Digital Infrastructure REIT, Inc. is a REIT focused on acquiring and managing digital infrastructure assets, including data centers, cell towers, wireless easements, and fiber networks. The company is offering up to $575 million in common stock through a continuous primary offering and distribution reinvestment plan, with shares available in multiple classes (Class D, I, S, T) featuring different fees and pricing structures. The offering is a 'best efforts' arrangement, with shares priced based on net asset value (NAV) subject to adjustments for material changes.
2025-02-14 · 0001104659-25-013928
EFFECT effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
StratCap Digital Infrastructure REIT, Inc. has filed an S-11 registration statement, effective February 14, 2025, for a $575 million offering of common stock across multiple classes (Class D, I, S, T). The REIT focuses on digital infrastructure assets including data centers, cell towers, and fiber networks, and is externally managed by StratCap Digital Infrastructure Advisors II, LLC. The offering includes a distribution reinvestment plan and involves variable pricing based on net asset value (NAV) with associated fees.
2025-02-14 · 9999999995-25-000474
S-11/A amended
Amended real estate registration statement
Updated real estate registration statement filed after SEC comments or deal changes.
Updates the prior S-11 filing.
StratCap Digital Infrastructure REIT, Inc. is offering up to $575 million in common stock through a continuous offering, consisting of $500 million in primary shares and $75 million under a distribution reinvestment plan. The REIT focuses on digital infrastructure assets like data centers, cell towers, and fiber networks, externally managed by StratCap Digital Infrastructure Advisors II, LLC. The filing updates details on share pricing, fees, and the share repurchase program, emphasizing risks related to liquidity, distributions, and market volatility.
2025-02-10 · 0001104659-25-010929
S-11 filed
Real estate registration statement
Registration statement filed for a real estate issuer or REIT offering.
Follows DRS/A in the pre-IPO sequence.
StratCap Digital Infrastructure REIT, Inc. is offering up to $575 million in common stock through a continuous offering, focusing on digital infrastructure assets like data centers, cell towers, and fiber networks. The REIT is externally managed by StratCap Digital Infrastructure Advisors II, LLC, with a sponsor indirectly owned by HMC Capital, an Australian asset manager with AUD $19 billion in assets under management. The offering includes multiple share classes with varying fees and a distribution reinvestment plan. The company emphasizes its status as an emerging growth company with reduced reporting requirements and highlights risks related to liquidity, reliance on advisors, and market volatility.
2025-01-29 · 0001104659-25-006805
DRS/A amended
Amended draft registration statement
Updated draft registration filed before the public launch.
Updates the prior DRS/A filing.
StratCap Digital Infrastructure REIT, Inc. (formerly Strategic Wireless Infrastructure Fund II, Inc.) is offering up to $575 million in common stock through a continuous offering, including $500 million in primary shares and $75 million via a distribution reinvestment plan. The REIT focuses on digital infrastructure assets like data centers, cell towers, and fiber networks, externally managed by StratCap Digital Infrastructure Advisors II, LLC. The filing highlights risks related to illiquidity, distribution uncertainty, and reliance on third-party advisors.
2024-11-12 · 0001104659-24-116607
DRS/A amended
Amended draft registration statement
Updated draft registration filed before the public launch.
Updates the prior DRS/A filing.
StratCap Digital Infrastructure REIT, Inc. is a REIT focusing on digital infrastructure assets like cell towers, fiber networks, and data centers. It is offering up to $575 million in common stock through a continuous offering, with shares available in multiple classes (Class D, I, S, T) featuring different fees and commissions. The offering is a 'best efforts' structure, and the company is an emerging growth company with reduced reporting requirements. The prospectus highlights risks related to liquidity, distribution uncertainty, and reliance on external management.
2024-05-10 · 0001104659-24-059818
DRS/A amended
Amended draft registration statement
Updated draft registration filed before the public launch.
Updates the prior DRS filing.
StratCap Digital Infrastructure REIT, Inc. is offering up to $575 million in common stock through a continuous offering, with shares structured into Class D, I, S, and T classes, each with distinct fees and pricing. The offering is managed by StratCap Securities, LLC, and the company focuses on digital infrastructure assets like cell towers, fiber networks, and data centers. The current DRS/A filing amends the previous DRS registration, reflecting updates to operational details and fee structures.
2024-02-13 · 0001104659-24-019688
DRS filed
Draft registration statement
Draft registration filed confidentially before the public launch.
First tracked pre-IPO filing for this issuer.
StratCap Digital Infrastructure REIT, Inc. (formerly Strategic Wireless Infrastructure Fund II, Inc.) is a real estate investment trust (REIT) focused on digital infrastructure assets including cell towers, fiber networks, and edge computing facilities. The company is offering up to $575 million in common stock through a continuous offering, with shares available in multiple classes (Class D, I, S, T) featuring varying commissions and fees. The offering is managed by StratCap Digital Infrastructure Advisors II, LLC, and is structured as an emerging growth company with reduced SEC reporting requirements. The filing includes risks related to liquidity, distribution uncertainty, and conflicts of interest.
2022-04-12 · 0001104659-22-044851
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Recent News

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