XXXXX | US Real Estate Securities Fund

Why Invest

A concentrated portfolio of U.S. real estate securities that seeks to achieve total return, emphasising both current income and long-term capital appreciation

A Distinct Approach

High-conviction portfolio typically focused on 30–45 securities with tactical rotation among property sectors/geographical regions based on economic/regional fundamentals

Consistent, Focused Investment Process

Balances real estate analysis with fundamental security analysis, using a combination of top-down selected property sectors and bottom-up security selection in an effort to optimise portfolio mix

Experienced Investors

Co-portfolio managers have an average of 25+ years of industry experience and have worked together on the portfolio since 2003

Fund Facts

Performance & Exposures

Returns & Distributions

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Stewardship & Sustainability

Portfolio Management Team

Fund Literature - 72 documents

Fund Literature Documents Listing and Download
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