The Trust's objective is to provide long term above average performance by creating a diversified, balanced fund which aims to optimise exposure to income and capital growth throughout the property cycle. The portfolio is actively managed and largely comprises core and core plus assets, which are liquid and offer stable or above average income returns that can be enhanced through active management or have above average growth potential.
Data as at: 31 December 2020, Source: PATRIZIA AG
Self Certification - Matrix 2020
This fund has been awarded the 2020 AREF Quality Mark. To view the most recent confirmation of the fund’s compliance with the Code of Practice click the link below: