Overview

Investment Objective

The Fund aims to provide a pre-tax income yield above the S&P/ASX 200 Index yield and to grow this income above the rate of inflation.

Fund Highlights

  • The Fund invests in a diversified portfolio of listed Australian and global developed market companies owning real assets (such as REITs, utilities and infrastructure securities).
  • A professionally managed active portfolio, with a strong focus on income growth.
  • The Fund combines extensive bottom-up fundamental and quantitative research with disciplined portfolio construction to identify the most attractive income opportunities.
Fund Information
Listing Exchange  ASX – XASX
Fund Inception Date  17/11/2010
ETF Listing Date 28/01/2025
Base Currency for Fund  AUD
Valuation Frequency  Daily
Distributions
Distribution Frequency  Quarterly
Distribution Amount (CPU) N/A
Payable Date N/A
Charges
Management Fees and Costs   0.85%
Pricing
Daily Price (NAV) TBC as of TBC
Indicative NAV (iNAV)1 $1.57 as of 11:09AM 31/01/2025
Identifiers
Ticker R3AL
IRESS Code  R3AL.AXW

For Performance, Risk and Portfolio Information, please visit the Managed FundOpens in new window page.

Fund Managers

Fund Manager

Ashton Reid, CFA®

Melbourne, Australia
Managed Fund Since 2010

Fund Manager

Andrew Chambers

Melbourne, Australia
Managed Fund Since 2016

Documents

Product Materials
Fact Sheet DownloadOpens in new window
Product Disclosure Statement DownloadOpens in new window
TMD DownloadOpens in new window
Material Portfolio Information DownloadOpens in new window
Annual Report DownloadOpens in new window
Half Yearly Report DownloadOpens in new window
Distribution Reinvestment Plan DownloadOpens in new window