Real Estate

Fund Performance

Both Funds have achieved strong returns since inception due to the skilled asset selection and active management of the investment properties.

Calendar Performance

 

2009

2008

2007

2006

2005

NAV - Beginning

$12.60

$12.55

$11.54

$10.67

$10.00

NAV - End

$12.73

$12.60

$12.55

$11.54

$10.67

NAV Apprec.

1.0%

0.4%

8.8%

8.2%

6.7%

Yield*

7.2%

7.5%

8.5%

8.2%

8.5%

Total Return

8.3%

7.9%

17.3%

16.4%

15.2%


Compound Annual Growth

1-Yr

2-Yr

3-Yr

4-Yr

5-Yr

8.5%

16.8%

11.1%

12.4%

12.9%



Timbercreek REIT vs TSX


(based on $100,000 invested at fund's inception)



*Yield is net of the management performance fee and is calculated on NAV at the start of calendar year divided by gross distribution to unitholders in that year. This is not reflective of yield on TREIT Units that have been issued at an earlier NAV. Yield on outstanding Timbercreek REIT Units should be calculated by dividing the annualized distribution by the initial cost of the investment.

Contact Us:

Timbercreek Asset Management
1000 Yonge Street, Suite 500, Toronto, Ontario, Canada M4W 2K2