Aberdeen European Balanced Property Fund

This is a core to core+ fund, designed to invest in a balanced real estate portfolio across Europe. It focuses on property markets that offer excellent prospects for both direct and indirect returns.

The portfolio will be diversified geographically and across property sectors. Target geographical markets at present are Belgium, Finland, France, the Netherlands and Spain. The aim is to achieve a return on equity for the investors of 10% p.a. (net of fees and after leverage) including a cash return of 6% p.a.

The Fund and Investment Manager is Aberdeen Property Investors Europe BV. Local Aberdeen offices perform acquisitions, asset management, property management and due diligence services to the fund - adding value to the fund while minimizing risk.

Contact persons

Nico Tates, Fund Manager, + 31 (0)20 687 0500
Email

Gert-Jan Kapiteyn, Deputy Fund Manager, +31 (0)20 687 0588
Email

 

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Key facts

Exposure
Europe

Fund type
Semi open-ended

Risk profile
Core to core+

Target size
€700m

Return target
10%

ABERDEEN PROPERTY INVESTORS. BOX 3348. SE-103 67 STOCKHOLM. SWEDEN. VISITING ADDRESS: SVEAVÄGEN 20. TELEPHONE:+46 (0)8 412 80 00 POST@ABERDEENPROPERTYINVESTORS.COM PART OF ABERDEEN ASSET MANAGEMENT PLC