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Aviva Investors Property Trust

The Trust’s investment objective is to obtain optimum returns compatible with security through income and capital appreciation from investment in real property assets, property-related assets, government/public securities and property collective investment schemes. The performance benchmark of the Trust’s direct property portfolio is the Balanced Funds component of the IPD UK Monthly Index (adjusted to reflect management costs equivalent to those payable within the Trust).

Fund Information

Fund data at
31/12/2016
Type of Fund
Authorised property unit trust
Residence
UK
Date Established
Sep-91
Total number of Unitholders
6241
Total Net Assets (£m)
1419.4

Portfolio Information:

Number of Assets:
 
Direct:
44
Joint & Indirect:
-
Listed Investments:
1
Total:
45

Portfolio Distribution:

Management/Professional Advisers:

Manager/Operator:
Aviva Investors UK Fund Services Limited
Property/Asset Manager or Advisor:
Aviva Investors Global Services Limited
Investment Manager or Advisor:
Aviva Investors UK Fund Services Limited
Unit Trust Manager (if applicable):
Aviva Investors Global Services Limited
Valuers:
Knight Frank
Trustee:
Citicorp International
Auditors:
PricewaterhouseCoopers
Source:
Property Fund Vision Handbook
Updated 21 April 2017