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Royal London Property Fund

Hills Road, Cambridge

The objective of the Fund is to provide the investor with an income return from a diversified portfolio of UK properties, while making acquisitions and disposals at the right time in the market cycle to extract maximum capital growth. The Fund’s benchmark is the Other Balanced Fund component of the AREF/IPD UK Quarterly Property Fund Index.

Fund Information

Fund data at
31/12/2016
Type of Fund
Property Authorised Investment Fund
Residence
UK
Date Established
May-91
Total number of Unitholders
29
Total Net Assets (£m)
383.7

Portfolio Information:

Number of Assets:
 
Direct:
39
Joint & Indirect:
-
Listed Investments:
-
Total:
39

Portfolio Distribution:

Management/Professional Advisers:

Manager/Operator:
Royal London Asset Management Ltd
Property/Asset Manager or Advisor:
Royal London Asset Management Ltd
Investment Manager or Advisor:
Royal London Asset Management Ltd
Unit Trust Manager (if applicable):
Royal London Asset Management Ltd
Valuers:
BNP Paribas Real Estate
Trustee:
National Westminster Bank Plc
Auditors:
PricewaterhouseCoopers
Source:
Property Fund Vision Handbook
Updated 21 April 2017