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Aims Property Securities Fund Aims Property Securities Fund

Aims Property Securities Fund

APW
Clasificación en acciones #20636
The Aims Property Securities Fund, an Australian-based closed-end fund of... The Aims Property Securities Fund, an Australian-based closed-end fund of funds, was launched by MacArthurCook Ltd. and is managed by MacarthurCook Fund Management Limited. This fund primarily invests in other vehicles operating within the real estate sector, encompassing unlisted property trusts, syndicates, wholesale property funds, listed property trusts, and publicly traded property-related companies. It also holds cash and fixed-income securities. The fund employs a rigorous fundamental analysis coupled with a bottom-up stock-picking strategy. Its investment decisions are guided by an assessment of the manager's expertise, the overall quality of the fund and its underlying properties, debt management proficiency, dedication to income growth, financial resilience, proven leadership, and the robustness of the business model. Performance is benchmarked against the S&P/ASX200 Property Trust Accumulation Index, with all investment research conducted in-house. It was formerly known as MacArthurcook Property Securties Fund.
Precio por acción
$2.82
Última sincronización: 2026-08-21
Capitalización bursátil
$125.59M
Cambio (1 día)
2.04%
Cambio (1 año)
32.87%
País
AU
Comercio Aims Property Securities Fund (APW)

Categoría

Historial de rendimiento por dividendo de Aims Property Securities Fund (APW)
Rendimiento por dividendo (TTM) de Aims Property Securities Fund (símbolo bursátil: APW) al 2026: 0
Rendimiento promedio por dividendo de los últimos 5 años: 0.00%
Historial de rendimiento por dividendo de Aims Property Securities Fund (APW) desde 2026 hasta 2026
Rendimiento por dividendo al final de cada año (TTM)
Año Rendimiento por dividendo Cambiar
Not enough data for the provided dates.
Rendimientos por dividendo (TTM) de empresas similares o competidoras
Empresa Rendimiento por dividendo País
6.83%
US
5.17%
US
0.00%
ES
5.85%
AU
7.16%
FR