The Resolution Capital Global Property Securities Fund (Fund) gives investors exposure to the underlying returns of some of the world’s highest quality real estate assets through a professionally managed portfolio of global real estate investment trusts (‘REITs’) and property companies.
Fund Objective and Strategy
The Resolution Capital Global Property Securities Fund has an investment objective to exceed the total returns of the Benchmark after fees on a rolling 3 year basis. In doing so, the Fund aims to provide Investors with a level of distributable income combined with the potential for long term capital growth sourced from global real estate based revenue streams. Resolution Capital intends to hedge the capital component of the Fund. The Benchmark for the Fund is the FTSE EPRA/NAREIT Developed Index (AUD Hedged) Net TRI.
The Fund pays distributions bi-annually.
Click here for the latest performance of this Fund and other property securities funds.
The Fund offers daily liquidity.
The Fund charges an ongoing management fee of 1.00% of the Net Asset Value of the Fund.
There is a 0.20% spread between the buy unit price and the sell unit price.
For more information please contact the manager for a PDS.
For more information on unlisted property funds and property syndicates please refer to the following guide.
The information provided above should be seen as factual information and not financial advice. All the information provided is not intended to imply any recommendation or opinion about a financial product.
We recommend seeking advice from professional and qualified financial planners prior to investing in any financial product.
- Category : Property Securities Funds
- Manager : Resolution Capital
- Term : Open-ended
- Yield : n/a
- IRR : n/a
- Minimum Investment : 25000