The investment seeks long-term capital appreciation.
The fund normally invests at least 80% of assets in equity and debt securities of companies in the real estate industry. Management seeks to acquire securities of well-financed companies at a substantial discount to the estimate of the issuing company's private market value or liquidation value. The fund is nondiversified.
Fund Manager:
Michael Winer
, since 9/17/98
Fund Inception:
9/17/98
Fund Ratings & Risk:
View Ratings & Risk
Composition:
STOCK (81.06%),
BONDS (2.57%),
CASH (8.76%),
OTHER (7.61%)