Total returns on £1000

| Fund / Benchmark | Change | |
|---|---|---|
| Price | TR Property (Ordinary Share) | +45.65% |
| NAV | TR Property (Ordinary Share) | +42.76% |
| Morningstar's Benchmark | MSCI ACWI/REAL ESTATE | +37.59% |
TR Property Investment Trust summary
| Shares outstanding | 317.60m |
|---|---|
| Market cap | 666.60m GBP |
| Total assets | 837.60m GBP |
| Total expense ratio | 1.04% |
| Day high | 212.30 |
| Day low | 210.52 |
| Previous close | 211.50 |
| Average volume | 693.68k |
|---|---|
| YTD Change | +22.54 % |
| Beta | 1.0611% |
| Diluted NAV (est) | 244.90 |
| Diluted NAV (last pub) | 243.10 |
| Premium/Discount | -15.60 % |
| Gearing | +111.00 % |
52-week range
140.70
May 23 2012
212.30
May 20 2013
Profile
| Management group(s) | Thames River Capital LLP |
|---|---|
| AIC sector | Property Securities |
| ISIN | GB0009064097 |
| Launch date | 05 May 1905 |
| Share type | Ordinary Share |
| Structure | Conventional |
| Base currency | GBP |
Objective
Investment in international property shares & property to maximise total return.
Management & contract fees
Management fee 0.2% p.a of Equity Shareholders Fund plus a flat fee of GBP 2.65m. Performance fee 15% p.a. payable if the Groups total return is greater than the Funds benchmark plus a hurdle of 2%. Under performance will be carried forward.
Dividend
| Div yield | 3.59863 |
|---|---|
| Div ex-date | 05 Dec 2012 |
| Div pay-date | 08 Jan 2013 |
Managed by
| Alban Lhonneur | Start : 01 Oct 2012 |
|---|---|
| Marcus Phayre-Mudge | Start : 01 Apr 2011 |
