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Why World RELF ?
Enable investors to control their investment horizon through the Fund's monthly investment and redemption feature based on the Fund's public market net asset valuation.
Takes advantage of non-correlated international real estate market cycles.
Provides maximum flexibility for re-balancing geographic and property type weightings as real estate market conditions dictate.
Provides global geographic and broad property asset class diversification.
Fund Facts
The Fund's minimum initial investment is US $ 10,000. Subsequent Fund investments are subject to a US $ 1,000 minimum requirement.
A Placement fee of up to 1.5% of the invested capital shall be charged by the Fund Sponsor.
The Management Fee is 1.75% per annum of the Fund's net Asset Value (NAV).
The Fund is structured as a liquid open-end Unit Trust, which is valued on the last day of each month.
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