Russell Investments International Property Securities Fund - Hedged - Class A
The Fund holds a portfolio of global real estate securities listed on the stock exchanges of developed regions, and is managed by four global specialist REIT investment managers.
Manager | Allocation (%) |
---|---|
Russell Investments International Property Securities Fund - Hedged | |
Cohen & Steers Capital Management, Inc. | 38.8 |
RREEF America L.L.C. | 48.5 |
Russell Investments | 12.7 |
As at 26/12/2024 |
Name | Allocation (%) |
---|---|
United States | 64.65 |
Japan | 8.53 |
Europe ex UK | 8.46 |
Australia/New Zealand | 5.65 |
Asia ex Japan | 5.35 |
United Kingdom | 4.72 |
Canada | 2.36 |
Emerging Markets | 0.28 |
As at 31/10/2024 |
Name | Allocation (%) |
---|---|
Diversified | 20.14 |
Health Care | 10.40 |
Industrial | 15.15 |
Lodging/Resorts | 3.57 |
Office | 3.64 |
Residential | 17.16 |
Retail | 13.64 |
Self Storage | 6.68 |
Technology | 9.55 |
Other | 0.07 |
As at 31/10/2024 |
Name | % OF ASSETS |
---|---|
Welltower Inc | 5.87 |
Equinix Inc | 5.02 |
Prologis Inc | 4.99 |
Digital Realty Trust Inc | 3.92 |
Simon Property Group Inc | 3.86 |
Public Storage | 3.43 |
Iron Mountain Inc | 2.87 |
Goodman Group | 2.80 |
Realty Income Corp | 2.75 |
AvalonBay Communities Inc | 2.61 |
As at 31/10/2024 |
Inception Date | 1 Month | 3 Months | 1 Year | 3 Years | 5 Years | Since Inception |
---|---|---|---|---|---|---|
31/12/2004 | 2.45% | 1.24% | 17.89% | -2.34% | 0.08% | 5.10% |
Past performance is not a reliable indicator of future performance. Performance is net of fees and charges. Performance for periods longer than 1 year are annualised. This information has been prepared for the purpose of providing general information, without taking into account your objectives, financial situation or needs. Before making an investment decision, you need to consider whether this information is appropriate to your objectives, financial situation or needs. Please consult your financial adviser. This information has been compiled from sources considered to be reliable, but is not guaranteed. Any potential investor should consider the relevant PDS in deciding whether to acquire, or continue to hold units in a fund. |
Fund detail
Assets under management | $74,776,504(As at 22/12/2024) |
---|---|
Fund inception | 31st December 2004 |
Minimum Investment timeframe | 7 years |
Investment return objective | To provide a total return, before costs and tax, higher than the Fund’s benchmark over the long term by providing exposure to a diversified portfolio of predominantly international and Australian listed property securities, largely hedged into Australian dollars. |
Investment strategy | The Fund invests predominantly in property trusts and property related securities listed on stock exchanges in developed international markets. The Fund may also invest in securities which have exposure to properties in emerging markets. Foreign currency exposures are largely hedged back to Australian dollars. |