Showing posts with label AmPan European Property Equities Fund. Show all posts
Showing posts with label AmPan European Property Equities Fund. Show all posts

Friday, 11 December 2015

AmPan European Property Equities Fund

Fund Plus Points
  • 11 Dec 15 : Only fund with full exposure into European Property equities.
  • 11 Dec 15 : 2015 YTD as of 30 Nov 2015 is +31.88%

Fund Information

Asset Class: Equity
Fund Type: Income & Growth
Geography: Global
Sector: European REITs
Inception Date: 03/06/2007
Inception Price: --
Fund Currency: RM
Latest Fund Size (MIL): RM 67.94 @ Sep 30 2015
Online Tradeable: Yes

Fund Investment Strategy
Investment Objective :
AmPan European Property Equities seek long-term capital appreciation
by investing its assets in quoted equity securities of companies of REITs (or its equivalents) having their registered office in the EEA listed or traded on a regulated market which derive the main part of their revenue from the ownership, management and/or development of real estate in Europe. The Fund is denominated in RM.

Investment Policy :
minimum of 95% of its NAV will be invested in the Target Fund.
(Based in Luxembourg)

Benchmark :
The EPRA-Index� (UK Restricted)

Charges and Fees
List of charges and fees as listed below:

Fund Performance
Annual Returns
  • 2015 : +32.82%
  • 2014 : +20.33%
  • 2013 : +28.23%
  • 2012 : +25.45%
  • 2011 :  -  9.73%
  • 2010 :  -  6.16%
  • 2009 : +34.72%
  • 2008 :  -52.62%

Awards & Credentials
Morningstar Fund Rating
  • Not Rated
Lipper Fund Awards
  • None
Morningstar Awards
  • None

Download Fund Factsheet/Annual Report/Interim Report


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Invest "AmPan European Property 
Equities Fund" at only
2% Sales Charge through eUnittrust



Still not sure how to? 
Ask Invest Made Easy at shanesee03@gmail.com

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