Aims Property Securities Fund

ASX-APW
Australian Securities Exchange
Real Estate REIT - Diversified
Global Rank
#25567
Country Rank
#506
Market Cap
88.06 M
Price
1.98
Change (%)
0.00%
Volume
1,012

Aims Property Securities Fund's latest marketcap:

88.06 M

As of 07/05/2025, Aims Property Securities Fund's market capitalization has reached $88.06 M. According to our data, Aims Property Securities Fund is the 25567th most valuable company globally by market capitalization. Market capitalization, commonly referred to as market cap, represents the total market value of all outstanding shares of a publicly traded company and is often used as a measure of company value.

Market Cap 88.06 M
Revenue (ttm) 48.71 M
Net Income (ttm) 47.88 M
Shares Out 44.52 M
EPS (ttm) 1.08
Forward PE 0.00
Ex-Dividend Date n/a
Earnings Date n/a
Market Cap Chart
Data Updated: 07/05/2025

Aims Property Securities Fund's yearly market capitalization.

Aims Property Securities Fund has seen its market value grow from A$54.68 M to A$88.06 M since 2014, representing a total increase of 61.05% and an annual compound growth rate (CAGR) of 4.64%.
Date Market Cap Change (%) Global Rank
07/05/2025 A$88.06 M 80.3% 25567
12/31/2024 A$74.57 M 19.64% 28535
12/21/2023 A$62.33 M 13.12% 28900
12/21/2022 A$55.1 M 1.45% 28832
12/31/2021 A$54.31 M -9.63% 29005
12/31/2020 A$60.1 M -7.85% 25176
12/23/2019 A$65.22 M -6.86% 22394
12/31/2018 A$70.03 M -6.01% 21009
12/27/2017 A$74.5 M 8.97% 20763
12/30/2016 A$68.37 M 16.51% 19433

Company Profile

Aims Property Securities Fund Overview

Aims Property Securities Fund is a close-ended fund of funds managed by MacarthurCook Fund Management Limited. Formerly known as MacArthurcook Property Securities Fund, it is domiciled in Australia.

Investment Strategy

The fund invests in a diversified range of real estate sector assets, including:

  • Unlisted property trusts/syndicates
  • Wholesale property funds
  • Listed property trusts
  • Listed property-related companies
  • Cash and fixed interest securities

Portfolio Management Approach

The fund employs a fundamental analysis with a bottom-up stock picking strategy, focusing on key factors such as:

  • Manager expertise
  • Fund quality
  • Property asset quality
  • Debt management skills
  • Income growth commitment
  • Financial strength
  • Proven management track record
  • Business model resilience

Performance Benchmark

The fund measures its performance against the S&P/ASX200 Property Trust Accumulation Index.

Research & Operations

The fund conducts in-house research to guide its investment decisions, ensuring a data-driven approach to portfolio construction.

Frequently Asked Questions

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