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109350127
Share Class Inception Date: 18/05/2021
ISIN: LU2339370376

Global Property Income Fund

Global property equity income fund focused on the manager’s best ideas in listed property stocks, Real Estate Investment Trusts (REITs) and property-related companies

This is a marketing communication. Please refer to the prospectus of the Fund and to the KIID/KID and / or offering documents before making any final investment decisions.

Morningstar Medalist Rating
As at 31/01/2025
Morningstar Rating
As at 28/02/2025
8.4712
NAV (USD)
As at 28/03/2025
0.0032 (0.04%)
NAV daily change
As at 28/03/2025
1.19 M
AUM (USD)
As at 28/03/2025
Article 8
SFDR Article Classification

FUND OVERVIEW

Actively managed and seeks to generate regular income and long-term total returns in excess of the FTSE EPRA/NAREIT Developed Dividend+ Index by investing globally, primarily in quoted equity securities of companies or REITs (or equivalents) listed or traded on a regulated market, which derive the main part of their revenue from the ownership, management or development of property.

Fund Highlights
  • With objectives to seek total return and regular income, the Fund invests primarily in listed global property equities which we believe provide predictable cash flows, earnings growth and attractive dividend yields
  • Managed by an experienced global team, using a tenant-driven research process and multi-faceted valuation approach, the Fund benefits from a team of ESG analysts to identify global best practices
  • By providing liquid exposure to real property assets, the Fund offers potential diversification from broader equities and bonds

INCOME MAY FLUCTUATE IN ACCORDANCE WITH MARKET CONDITIONS, IS NOT GUARANTEED AND MAY BE PAID FROM CAPITAL. The Fund aims to pay dividends between 3% - 5% of the Fund’s Net Asset Value in USD on an annual basis. Share classes in other currencies may be impacted by changes in currency conversion rates. In order to deliver a regular income, the potential for capital growth may be reduced and capital may be eroded in the long term.

Key Documents
KID

FUND TEAM

Bradford Stoesser
Portfolio Manager
23 years industry experience
19 years with Wellington
Bradford is the lead equity portfolio manager for the Global Property Income Fund. He manages property equity assets on behalf of our clients, drawing on research from Wellington Management’s dedicated real estate team and global analysts, as well as his own fundamental analysis.
Xiaobo Ma, CFA
Portfolio Manager
15 years industry experience
15 years with Wellington
Xiaobo is the co-portfolio manager for the Global Property Income Fund. She conducts fundamental analysis, working closely with the Property Team and portfolio managers to inform them of trends, and makes recommendations in her coverage area.

KEY FUND FACTS

Fund Details
  • Base Currency
    USD
  • Fund Inception Date
    18/05/2021
  • Share Class Inception Date
    18/05/2021
  • Asset Class
    Equity
  • Domicile
    Luxembourg
  • Bloomberg
    WEGPINU LX
  • ISIN
    LU2339370376
  • Benchmark
    FTSE EPRA Nareit Developed Dividend Plus Net Index
  • SFDR Article Classification
    Article 8
Charges & Expenses
  • Management Fee
    0.60%
  • Ongoing Charges Figure
    0.94%
  • Minimum Investment
    USD 5.00 K
The Fund is authorised and regulated as a UCITS scheme by the Commission de Surveillance du Secteur Financier. The ongoing charges figure excludes Fund transaction costs, except in the case of depositary fees and an entry/exit charge paid by the Fund when buying or selling Shares in another collective investment undertaking. A detailed description of the charges that apply is set out in the section "Charges and Expenses" in the Prospectus. The ongoing charges figure may change over time. Charges applied will reduce the return potential of investments. Charges applied will reduce the return potential of investments. If an investor’s own currency is different from the currency shown, costs could increase or decrease due to currency or exchange related fluctuations.

PERFORMANCE

Cumulative PerformanceAs at 28/02/2025
Created with Highcharts 9.3.3Global Property Income Fund - USD N M4 DistFTSE EPRA Nareit Developed Dividend Plus Net IndexMay 21Jun 21Jul 21Aug 21Sep 21Oct 21Nov 21Dec 21Jan 22Feb 22Mar 22Apr 22May 22Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 24May 24Jun 24Jul 24Aug 24Sep 24Oct 24Nov 24Dec 24Jan 25Feb 25-30%-20%-10%0%10%20%

Past performance does not predict future returns.

Total return net of fees & expenses (%) as at 28/02/2025

SHARE CLASSFROM
TO
03/24
02/25
03/23
02/24
03/22
02/23
03/21
02/22
03/20
02/21
03/19
02/20
03/18
02/19
03/17
02/18
03/16
02/17
03/15
02/16
USD N M4 Dist
(Total Return)
11.51.3-16.2-------
FTSE EPRA Nareit Developed Dividend Plus Net Index 11.5 -1.0 -14.9 - - - - - - -

PAST PERFORMANCE DOES NOT PREDICT FUTURE RETURNS. AN INVESTMENT CAN LOSE VALUE. The inception date of the USD N M4 Dist share class is 18/05/2021. Periods greater than one year are annualised. If an investor's own currency is different from the currency in which the fund is denominated, the investment return may increase or decrease as a result of currency fluctuations. Fund returns shown are net of USD N M4 Dist share class fees and expenses. Fund returns shown are net of actual (but not necessarily maximum) withholding and capital gains tax but are not otherwise adjusted for the effects of taxation and assume reinvestment of dividends and capital gains. The index returns, where applicable, are shown net of maximum withholding tax and assume reinvestment of dividends. Please note the fund has a swing pricing mechanism in place. If the last business day of the month is not a business day for the Fund, performance is calculated using the last available NAV. This may result in a performance differential between the fund and the index. Sources: Fund - Wellington Management. Index – FTSE.

FUND CHARACTERISTICS

As at 28/02/2025
CHARACTERISTICSFUNDBENCHMARK
Asset-Weighted Market Capitalisation (USD)30.20 BN/A

Source: Wellington Noether Model (projected figures).

FUND ALLOCATIONS

As at 28/02/2025
Created with Highcharts 9.3.3% OF EQUITY63.663.613.313.39.59.58.98.94.84.80.00.071.771.711.111.19.29.27.57.50.10.10.40.4FUNDBENCHMARKNorth AmericaEuropeAsia Pacific ex JapanJapanEmerging MarketsMiddle East/Developed01020304050607080

Totals may not add up to 100% due to rounding.

FUND RISKS

All investors should consider the risks that may impact their capital, before investing. The value of your investment may become worth more or less than at the time of the original investment.
Summary Risk Indicator (SRI)
As at 23/01/2025
  • 1
    Lower Risk
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
    Higher Risk
Select a risk to learn more about it
  • Concentration
  • Sustainability
  • Hedging
  • Manager
  • Capital
  • Emerging Markets
  • Real estate securities
  • Currency

The risk category shown is based on previous share class volatility, it is not guaranteed to remain unchanged and may shift over time. Even the lowest risk category 1 is not a risk free investment. For more information please read the Key Investor Information Document (KIID)/Key Information Document (KID).

SUSTAINABILITY-RELATED DISCLOSURE

Although the Fund doesn’t have a specific sustainable investment objective, it aims to support certain environmental and social characteristics which are consistent with its investment objective. Full details are provided in the Fund’s Sustainable Investing Disclosure Document, provided below.

Funds returns are shown net of fees. Fund returns shown are net of actual (but not necessarily maximum) withholding and capital gains tax but are not otherwise adjusted for the effects of taxation and assume reinvestment of dividends and capital gains. If an investor’s own currency is different from the currency in which the fund is denominated, the investment return may increase or decrease as a result of currency fluctuations.

Source: Wellington Management.

© 2024 Morningstar, Inc. All Rights Reserved. Past performance does not predict future returns. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. The Overall Morningstar Rating for a fund is derived from a weighted average of the three, five, and ten year (if applicable) ratings, based on risk-adjusted return.

Investment in the funds described on this website carries a substantial degree of risk and places an investor’s capital at risk. The price and value of investments is not guaranteed and can go down as well as up. An investor may not get back the original amount invested and an investor may lose all of their investment. Investment in the funds described on this website is not suitable for all investors. If an investor is in any doubt as to the suitability of an investment in a fund, an investor should consult an independent financial advisor. The information on this website does not constitute, and should not be construed as, investment advice or a recommendation to buy, sell or otherwise transact in any security including, but not limited to, shares in the funds. An investor should only invest in a fund once that investor has carefully read and understood the offering documents for the fund which contain further information on the risks and features of the fund. Unless stated otherwise data is as at previous month end.