CT European Real Estate Securities Fund D Acc GBP
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General Objective
The fund aims to generate a total return greater than that of its Benchmark (FTSE EPRA Nareit Developed Europe UCITS Capped Net Tax Index). It is actively managed and seeks to achieve this objective by investing mainly in equities of European listed property companies and companies related to the real estate sector or with significant exposure to European real estate. Derivatives may be used to obtain long or short market exposure to specific companies.
Fund Exposure
The fund is exposed to European real estate securities, with a focus on equities of European listed property companies and companies related to the real estate sector. The top geographical allocations include France, Germany, and the UK, while the sector breakdown includes investments in industrial, residential, and office properties.
Risks
Investments in the fund may result in fluctuations in value, and there is a risk of not getting back the original amount invested. Concentration in specific sectors or countries may lead to less diversification and increased volatility in investment values. Additionally, investments in smaller companies carry a higher degree of risk due to less liquidity and potential volatility in investment values. It is important to consider all the characteristics and objectives of the fund before making investment decisions.