FAQs
When can I invest?
The Fund is open for investment at any time, with units issued at the end of the month following application submission.
How are withdrawals managed?
Investors can request to redeem their units at five year intervals. Liquidity for these withdrawals will be sourced from raising new funds, the sale of one or more assets, or increasing the Funds gearing (within the target range).
How are units priced?
Units are issued monthly based on the prevailing price.
How is the Fund valued?
Property valuations are conducted annually or more frequently where there has been a material change, such as a leasing event.