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Aviva Investors Pensions Property Fund

The objective of the Fund is to outperform the weighted average return to All Balanced Fund Index component of the AREF/IPD UK Quarterly Property Funds Index by 1.0% p.a. over rolling three year periods, gross of the annual management charge. The Fund aims to achieve this through investing in UK commercial properties across all major sectors (offices, retail and industrial) and undertake active management opportunities wherever possible to enhance the value of assets. The Fund’s benchmark is the weighted average return to the All Balanced Fund Index component of the AREF/IPD UK Quarterly Property Fund Index.

Fund Information

Fund data at
31/12/2016
Type of Fund
Exempt approved managed fund
Residence
UK
Date Established
Aug-72
Total number of Unitholders
248
Total Net Assets (£m)
1044.4

Portfolio Information:

Number of Assets:
 
Direct:
51
Joint & Indirect:
-
Listed Investments:
-
Total:
51

Portfolio Distribution:

Management/Professional Advisers:

Manager/Operator:
Aviva Investors Pensions Limited
Property/Asset Manager or Advisor:
Aviva Investors Global Services Limited
Investment Manager or Advisor:
Aviva Investors Pensions Limited
Unit Trust Manager (if applicable):
Aviva Investors Global Services Limited
Valuers:
CBRE
Trustee:
Not applicable
Auditors:
PricewaterhouseCoopers
Source:
Property Fund Vision Handbook
Updated 21 April 2017