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AFM Fund Profile — Pendal Global Property Securities Fund

Fund & Manager Details

Key Facts

Fund Type: Single Discretionary/Quantitative: Discretionary
Strategy: Real Estate This Funds FUM (millions): 35m
Style: Value Fund Inception Date: Since 01 July 2004
Geographic Mandate: Global Latest Return Date: June 2026
Fund Domicile: Australia Investor Type: Retail
Status: Open Reporting Status: Current

Manager Details and Fund Description

Manager: Pendal Fund Services Total FUM for all funds: AU$99,000m
Manager Overview:
Originally established in 1969 as Ord-BT, Pendal is an Australian investment manager that aims to deliver superior investment returns for clients through active management. They actively manage investments in Australian equities and listed property, Australian and international fixed interest, global equities, multi-asset portfolios and alternative investments.

In 2023, Pendal became part of Perpetual Limited (ASX:PPT). Through the Perpetual and Pendal brands, Barrow Hanley, J O Hambro, Regnan, Trillium and TSW, they have a presence in the US, UK and Europe.
Fund/Strategy Overview:
Pendal Global Property Securities Fund is a real estate strategy benchmarked against the FTSE EPRA/NAREIT Developed ex Australia hedged in AUD Net TRI. The Fund aims to provide a return, before fees, costs and taxes, that exceeds the benchmark over the medium to long term. It invests primarily in listed property securities in North American, European and Asian markets outside Australia, generally through publicly traded REITs and real estate-related securities linked to the development, ownership, construction, management or sale of real estate. The Fund may also hold cash and use derivatives. AEW's process is driven by fundamental bottom-up company analysis seeking relative value across the investable universe, supported by top-down assessment of property type and geographic exposures, yield, leverage and valuation multiples. Foreign currency exposure is generally hedged back to the Australian dollar where reasonably practicable.
Other funds operated by manager:
Barrow Hanley Concentrated Global Share Fund, Pendal Active Balanced Fund, Pendal Active Conservative Fund, Pendal Australian Equity Fund, Pendal Australian Long/Short Fund, Pendal Australian Share Fund, Pendal Dynamic Income Fund - Class R, Pendal Fixed Interest Fund, Pendal Focus Australian Share Fund, Pendal Global Emerging Markets Opportunities Fund - Wholesale Class, Pendal Government Bond Fund, Pendal Horizon Sustainable Australian Share Fund, Pendal Imputation Fund, Pendal MicroCap Opportunities Fund, Pendal MidCap Fund, Pendal Monthly Income Plus Fund, Pendal Multi-Asset Target Return Fund, Pendal Property Investment Fund, Pendal Short Term Income Securities Fund, Pendal Smaller Companies Fund, Pendal Sustainable Australian Fixed Interest Fund - Class R, Pendal Sustainable Australian Share Fund, Pendal Sustainable Balanced Fund - Class R, Regnan Credit Impact Trust Fund

Investment Details

Investment Terms

Minimum Investment: Minimum Additional Investment: Minimum Term: Investment Frequency:
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Regular Savings Option: Regular Savings Min. Amount: Regular Savings Max. Amount: Regular Savings Freq.:
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Redemption Notice: Redemption Frequency: Notes:
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Distributions: Distribution Frequency: Last Distribution Date: Last Distribution Amount:
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Structure

Offshore/Onshore: Fund Structure: Share Classes: Trustee/Responsible Entity:
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Administrator: Prime Broker: Custodian: Legal:
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Fund Fees

Management Fee: Performance Fee: High Water Mark: Hurdle:
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Buy Spread: Sell spread: Early Redemption Fee: Fees Notes:
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Performance & Risk

Returns

Latest Return Date: Latest Result: Fund Inception Date: Annualised Return:
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Latest 3 Months: Latest 6 Months: Latest 12 Months: Latest 2 Years p.a.:
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Latest 3 Years p.a.: Latest 4 Years p.a.: Latest 5 Years p.a.: Latest 7 Years p.a.:
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Performance Statistics

% Positive Months (S.I.): Average Return: Average +ve Return: Average -ve Return:
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Best Month: Worst Month: Up Capture Ratio (S.I.): Down Capture Ratio (S.I.):
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Largest Drawdown (S.I.): Longest Drawdown (S.I.): Current Drawdown (%): Current Drawdown (Months):
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Risk

Annualised Standard Deviation (S.I.): Downside Deviation (S.I.): Sortino Ratio (S.I.): -
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Sharpe Ratio (12 months): Sharpe Ratio (3 years): Sharpe Ratio (5 years): Sharpe Ratio (S.I.):
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Please note, Sharpe and Sortino ratios are calculated using the Australian Risk Free Rate

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Fund Performance

Historical Performance (all figures shown here are net of fees unless otherwise stated)

Year Jan % Feb % Mar % Apr % May % Jun % Jul % Aug % Sep % Oct % Nov % Dec % YTD %
2026 ### ### ### ### ### ### ### ### ### ### ### ### ###
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2023 ### ### ### ### ### ### ### ### ### ### ### ### ###
2022 ### ### ### ### ### ### ### ### ### ### ### ### ###
2021 ### ### ### ### ### ### ### ### ### ### ### ### ###
2020 ### ### ### ### ### ### ### ### ### ### ### ### ###
2019 ### ### ### ### ### ### ### ### ### ### ### ### ###
2018 ### ### ### ### ### ### ### ### ### ### ### ### ###
2017 ### ### ### ### ### ### ### ### ### ### ### ### ###
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2011 ### ### ### ### ### ### ### ### ### ### ### ### ###
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Historical Financial Year Performance (all figures shown here are are percentage per month net of fees unless otherwise stated)

Year Jul % Aug % Sep % Oct % Nov % Dec % Jan % Feb % Mar % Apr % May % Jun % FYTD %
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2020/2021 ### ### ### ### ### ### ### ### ### ### ### ### ###
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Pendal Global Property Securities Fund - Yearly Performance

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Pendal Global Property Securities Fund - Distribution of Returns

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Pendal Global Property Securities Fund - Cumulative Return

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Pendal Global Property Securities Fund - Cumulative Return

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Australian Fund Monitors Pty Ltd
A.C.N. 122 226 724
AFSL 324476
Email: [email protected]
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