TR Property Investment Trust plc Fund factsheet | FE Trustnet

TR Property Investment Trust plc

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Fund objective

The investment objective of the trust is to maximise total returns by investing in Pan European equities and UK direct property, focusing on long term capital and income growth.

Key Information
Legal Structure:Investment Trusts
AIC Sector:IT Property Securities
Benchmark:-
Market Value:£1161.50m
Total Assets:£1219.58m
Net Gearing:114
Shares in Issue:31735.10m
Fund Launch:29/02/1996
Distribution Policy:inc
Domicile:United Kingdom
Asset Class:Property
Geographical Region:Europe
Cumulative Performance
Created with Highstock 6.1.320142015201620172018-50.0%0.0%50.0%100.0%150.0%11/12/2013 - 11/12/2018 Data from FE Analytics
Time Periods
TR Property Investment Trust plc
NAV
 1 m3 m6 m1 yr3 yr5 yr
-6.0-11.3-9.91.639.893.8
-6.0-10.4-9.61.146.883.7
Position1/11/11/11/11/11/1
Quartile Ranking111111
Performance Criteria

Performance as at 11/12/2018. Performance figures are shown in Pound sterling (GBP). Total return performance figures are calculated on a bid price to bid price basis (mid to mid for OEICs) with net income (dividends) reinvested. The quartile rank is for the main unit within the sector.

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