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Global Property Feeder Fund

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Investor Profile

This unit trust portfolio is suitable for investors who require sector specific exposure to global real estate securities as part of their overall investment strategy. Investors should have a high tolerance for short-term market volatility in order to achieve long-term objectives. The portfolio is rand-denominated, which provides investors who may have utilised their full individual offshore allowance an opportunity to obtain additional exposure to international markets.

Investment manager

Resolution Capital is a specialist investment manager that focuses on managing global listed real estate securities. Resolution Capital was established in 2004 and is based in Sydney, with offices in New York. Their disciplined investment process emphasises a global sectoral perspective and focuses on long term wealth preservation and appreciation. They have managed the Nedgroup Investments Global Property fund since its inception.

Resolution is a global leader regarding its commitment to responsible investing (RI) and industry participation around the sustainability agenda. These efforts are evident in its corporate engagement practices and 100% voting participation at company AGMs. Resolution’s approach to ESG is supported by an RI policy that displays high cognisance of a fund manager’s social licence to operate and the broader social and environmental implications that investments can have.

Risk profile

Low risk High risk
The greater the amount of risk an investor is willing to take on the greater the potential return

Minimum investment

Lump sum: R10 000 Debit order: R250

Recommended minimum period

7 years

Inception date

08 July 2016

Asisa category

(ASISA) Global RE General

Benchmark

ASISA Category Average

Performance (since inception)

Past performance is not indicative of future performance and does not predict future returns.

Annual fees and charges eac Fees calculator

excl VAT incl VAT
Fund management fee 1.10% 1.10%
+
Fund expenses 0.11%
Total expense ratio 1.21%
+
Fund transacting costs 0.13%
Total investment charges 1.34%

Price as at eac View all prices

Fund price Market change Unit count
1 589.04 -0.02% -

Income distribution

Cents per unit Latest date Frequency
2.55 29 December 2023 Annually