Fidelity Alternative Real Estate Trust

Net asset value As at June 30, 2025

Properties image

Why invest in this Fund?

  1. Offers exposure to private and public real estate investments in a single vehicle
  2. Real assets may serve as an inflationary hedge
  3. The potential of diversification benefits that come from a combination of illiquid and liquid real estate assets

Fund Codes

Subscription (Purchase) series

Series FH FID7714

Series BH FID7713

Fund details

  • Inception

    17-Mar-2025

  • Legal document

    Offering memorandum

  • Structure

    Open ended

  • Target asset mix

    70% private
    30% public

  • Investor profile

    Accredited Investors

  • Minimum investment (Accredited investor)

    $25,000 initial
    $10,000 subsequent

  • Minimum investment (Discretionary advisor)

    $100,000 initial
    No subsequent minimum

  • Subscriptions*

    Monthly

  • Redemptions*

    Quarterly

  • Registered account
    eligibility

    Yes

  • Management fee
    Series F
    Series B


    0.75%
    1.75%

  • Early redemption
    fee schedule

    Year 1 - 3%
    Year 2 - 2%
    Year 3 - 1%

* Please see the offering memorandum for more information around the subscription and redemption process

Allocation

As at

2025-06-30

Fund level

Private Investment

Public Investment

Key Facts

Gross asset value

869

Net asset value

467.0

Leverage ratio

46.0

Number of properties

7.0

Top 10 holdings

As at

2025-06-30
Investment Type Location
77 Davisville Multifamily Toronto, ON
The W Student Housing London, ON
1585-1785 Rue Beaulac Logistics Saint-Laurent, QC
Hendry Place Multifamily Vancouver, BC
50 & 55 Marie-Curie Logistics Valleyfield, QC
Village Green Multifamily Toronto, ON
2385 Meadowpine Blvd Logistics Mississauga, ON
Total number of holdings

7.0

Property type (%)
Geography (%)

Portfolio managers

Don Newman image
Don Newman
Portfolio manager
Brookfield image
Brookfield Asset Management Ltd.
Underlying fund manager
Properties image

Fidelity Alternative Real Estate Trust

Net asset value As at June 30, 2025

Fund Codes

Subscription (Purchase) series

Series FH FID7714

Series BH FID7713

Fund details

  • Inception

    17-Mar-2025

  • Legal document

    Offering memorandum

  • Structure

    Open ended

  • Target asset mix

    70% private
    30% public

  • Investor profile

    Accredited Investors

  • Minimum investment (Accredited investor)

    $25,000 initial
    $10,000 subsequent

  • Minimum investment (Discretionary advisor)

    $100,000 initial
    No subsequent minimum

  • Subscriptions*

    Monthly

  • Redemptions*

    Quarterly

  • Registered account
    eligibility

    Yes

  • Management fee
    Series F
    Series B


    0.75%
    1.75%

  • Early redemption
    fee schedule

    Year 1 - 3%
    Year 2 - 2%
    Year 3 - 1%

* Please see the offering memorandum for more information around the subscription and redemption process

Why invest in this Fund?

  1. Offers exposure to private and public real estate investments in a single vehicle
  2. Real assets may serve as an inflationary hedge
  3. The potential of diversification benefits that come from a combination of illiquid and liquid real estate assets

Allocation

As at

2025-06-30

Fund level

Private Investment

Public Investment

Key Facts

Gross asset value

869

Net asset value

467

Leverage ratio

46

Number of properties 7
Top 10 holdings

As at

2025-06-30
Investment/Location Type
77 Davisville Toronto, ON Multifamily
The W London, ON Student Housing
1585-1785 Rue Beaulac Saint-Laurent, QC Logistics
Hendry Place Vancouver, BC Multifamily
50 & 55 Marie-Curie Valleyfield, QC Logistics
Village Green Toronto, ON Multifamily
2385 Meadowpine Blvd Mississauga, ON Logistics
Total number of holdings 7
Property type (%)
Geography (%)

Portfolio managers

Don Newman image
Don Newman
Portfolio manager
Brookfield image
Brookfield Asset Management Ltd.
Underlying fund manager

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For accredited investors only.