The fund invests in real estate companies established, listed or traded in European countries. This includes companies which main revenue or activity is linked to real estate property, management and/or development. The portfolio is diversified across countries. Measured over a period of several years, we aim to beat the performance of the benchmark 10/40 GPR 250 Europe 20% UK NR. We strive to add value to the fund by stock selection based on a thorough company analysis. We consciously weigh the upside potential from the current share price against the risks involved, before including a stock in the fund.