The UK Offering
Fiera Real Estate’s discretionary and advisory assets under management have the unique advantage of access to regional UK operating partners, which are backed by the UK division. This provides investors with an extensive network offering and an unrivalled geographic spread, which offers superior deal flow, highly skilled resource and access to local knowledge.
Debt – Fiera Real Estate European Debt Fund
Objective: Wealth preservation with quarterly dividends |
Key Stats |
Open ended fund structure |
Target £500m+ |
Pan-European debt |
Sector agnostic |
Target return – 10%+ Net IRR |
Strategy |
To provide investors with attractive quarterly dividends with capital preservation as the core overarching focus. |
Diversified Solutions – Fiera Diversified Real Estate Strategy
Objective: Generate stable returns and income |
Key Stats |
Open-ended fund structure |
$520m AUM (as at 30th June 2023) |
Target net return – 7-9%; 3-5% cash yield (unlevered) |
Access to natural capital, infrastructure and real estate globally |
Strategy |
To generate stable, risk adjusted returns through a diversified portfolio of global real assets strategies |
Value Add – Fiera Real Estate Logistics Development Fund UK
Objective: Wealth creation through adding value |
Key Stats |
Closed ended fund structure |
£250m target fund size |
15% target return |
Grade A logistics development |
<250,000 sq.ft logistics buildings |
Strategy |
To take advantage of unprecedented occupier and investor demand for logistics real estate. |
Value Add – Residential Land Partnership II
Objective: Wealth creation through adding value |
Key Stats |
Closed ended fund structure |
£150m target fund size |
20% target return |
H1 2025 launch date |
Residential land entitlement |
Strategy |
To take advantage of the chronic undersupply of housing across the UK and demand from a growing population. |
Core – Fiera Real Estate Long Income Fund UK
Objective: Liability matching and wealth preservation |
Key Stats |
Open ended fund structure (quarterly traded) |
c.£300m AUM |
Target income return 4 – 4.5% p.a. |
Nil leverage |
Find out more Factsheet
9 Reasons To Invest
Segregated Accounts
Key Stats |
Independent client portfolios |
Strategic portfolio management |
High degree of diversification with respect to sectors, regional weightings, primary and secondary target markets |
Tailored asset-ownership structures |
Debt and debt-structure limits |