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Fiducian Property Securities Fund

At a glance

Fund size

$262 million (April 2026)

Portfolio manager

Conrad Burge

Inception date

March 1997

Fund ranking / index

View Fiducian Funds performance & ratings data

Recommended holding period

At least 6 years

Benchmark

S&P/ASX 200 A-REIT Accumulation Index

Management cost

0.96%

Total management costs

1.00%

Application/exit fee

Nil

APIR Code

FPS0007AU

ARSN

093 544 079

Fund profile Icon

Fund profile

The Fiducian Property Securities Fund (Fund) invests with three specialist property fund managers in property trusts and other property securities that are mainly listed on the Australian Stock Exchange. It has exposure to multiple property sectors including offices, shopping centres and warehouse/industrial, as well as more niche sectors such as self-storage facilities and data centres.

The Fund is managed using Fiducian's unique Manage the Manager system, which aims to deliver superior returns with reduced risk.

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Fund objective

The Fund aims to exceed the ASX 200 Property Accumulation Index (after fees) over rolling three-year periods.

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Investor profile

The Fund may suit investors looking for attractive levels of income and the potential for small capital growth.