SHELTER INVEST REAL ESTATE LOW VOLATILITY

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ShelteR Invest Real Estate Low Volatility Fund is a sub-fund that aims to achieve a return comprising income and capital gains from the investment in a portfolio of Transferable Securities of Belgian and European listed real estate companies. The core activities of these companies can include: office, retail, residential and logistics real estate.

The sub-fund intends to achieve the investment objective in accordance with the investment restrictions by (i) investing mainly directly in (a) real estate securities including any rights, options or other securities distributed to holders of the relevant stocks or (b) UCITS and other UCIs investing in real estate and by (ii) employing financial derivative instruments to manage the portfolio efficiently and to gain indirect investment exposure.

The sub-fund targets a geographical allocation of around 50% in Belgium and around 50% in the rest of Europe with a maximum deviation of around 10%. The investment in foreign currencies, different than the Euro, is 49%.

EVOLUTION OF THE NAV IN EUR

NAV YTD
EUR %

Last update:

Fund - Benchmark


Annualized Performance

2Y 3Y 5Y 10Y Since
Incep.
ShelteR Invest - Real Estate Low Volatility x% x% x% x% x%
Benchmark x% x% x% x% x%

Cumulative Performance

YTD 1M 3M 6M 1Y
ShelteR Invest - Real Estate Low Volatility x% x% x% x% x%
Benchmark x% x% x% x% x%

Annualized Volatility

1M 3M YTD 1Y 3Y
ShelteR Invest - Real Estate Low Volatility x% x% x% x% x%
Benchmark x% x% x% x% x%
IMPORTANT NOTICE: The sub-fund is a successor to the Belgian SICAV Securex B Fund Real Estate which has been in existence since 14/10/2008. The sub-fund ShelteR Invest Real Estate Low Volatility has been created from the absorption of all of the assets of Securex B Fund Real Estate and is live under the SICAV ShelteR Invest since 18/11/2015. Past performance performed by the fund prior to that important change continue to be included in returns. The historical performance as of 18/11/2015 until 08/05/2016 for the retail share class is simulated by using actual data from the institutional share class. Past performance is not a reliable indication of future returns. The figures relate to the retail share class. Source: ShelteR Investment Management, data from 14/10/2008.
Volatility is the degree of variation of the NAV of the sub-fund over time as measured by the standard deviation of logarithmic returns. It refers to the amount of uncertainty or risk about the size of changes in the NAV.

Key Information

ISIN Share Class I

LU1248420777

ISIN Share Class R

LU1248420850

Bloomberg ticker

SHRELIE LX Equity

Benchmark

50% EPRA Belgium NET TR EUR + 50% EPRA Europe NET TR EUR

NAV

EUR

AUM

EUR

Recommended horizon

Minimum 5 years

Duration

No maturity date

Minimum subscription

Share Class I: 500.000 EUR
Share Class R: 1.000 EUR

Withholding tax on dividends

Not applicable for this dividend policy

Exit tax

1.32% (max 4.000 EUR)

Type of fund

UCITS

Fund legal type

SICAV governed by Luxembourg law

Passporting

Belgium, Luxembourg

Dealing frequency

Daily

Cut off time

D-1, 12.00

Launch date Share Class I

18/11/2015

Launch date Share Class R

09/05/2016

Settlement deadline

D+3

Currency

EUR

Dividend policy

Accumulation

Issue price

100 EUR

Key Documents

Product Sheet Class R PDF
KIID Share Class I PDF
KIID Share Class R PDF
Factsheet Class R PDF
Prospectus PDF

Fees

Management fees

Share Class I: 0.80% p.a.
Share Class R: 1.60% p.a.

Performance fees

None

Entry fees

Maximum 5.00%

Ongoing charges

Maximum 2.50% p.a.

REGIONAL ALLOCATION

Sector Allocation

Top Constituents

Name ISIN Weight
IMPORTANT NOTICE: The sub-funds in the portfolio may not be available in Belgium, please verify with your investment advisor.

Important notices

Prior to an investment, prospective investors should carefully read the latest Key Investor Information Document (KIID) as well as the offering documentation, including but not limited to the sub-fund’s prospectus which contains inter alia a comprehensive disclosure of applicable risks. These documents can be obtained free of charge on this website or upon request to the Management Company.

The net asset values are available every business day on our website www.shelter-im.com and on www.fundinfo.com.

For any claim please contact the ShelteR-IM claim service via claim@shelter-im.com or the external mediation service via +3227025220 or contact@mediationconsommateur.be.

The performance information on this web page refers to past performance. Past performance is not a reliable indication of future returns.

The data shown on his page is not real-time, i.e. it may be delayed due to mandatory requirements of the data provider. As a consequence, the price of the product linked to a specific underlying you are quoted by your broker or intermediary may substantially differ from the price of the product that you would expect on the basic of the date deployed on this site. ShelteR-IM accepts no responsibility for loss, however caused resulting from errors in this data.

Swing pricing is applicable and aims to protect existing investors from the performance dilution effects they may suffer as a result of transactions by other investors in the fund.

Risk Scale

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  • Typically lower
    rewards
  • Typically higher
    rewards
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Risks incurred

Counterparty Risk

The insolvency of any institutions acting as counterparty to derivatives or other instruments, may expose the sub-fund to financial loss.

Operational Risk

The insolvency of any institutions providing services such as safekeeping of assets may expose the sub-fund to financial loss.

Currency Risk

The sub-fund invests in other currencies. Changes in exchange rates will therefore affect the value of the investment.

For more information on risks, please see the sub-fund’s prospectus.