NovantigoEvergreen Funds & ELTIF Database

Aviva Investors

Aviva Investors Real Estate Active LTAF

LTAF · Real Estate · Core / Core Plus · domiciled in United Kingdom

Type
LTAF
Asset class
Real Estate
Domicile
United Kingdom
Redemption
Min investment

One of 2 real estate funds domiciled in United Kingdom among the 472 evergreen funds and ELTIFs Novantigo tracks.

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Key facts

Manager
Aviva Investors
Fund type
LTAF
ISIN
GB00BMBTPD75
Domicile
United Kingdom
Legal structure
ACS
Regulatory regime
LTAF
ELTIF version
N/A
Fund structure
Open-End
Inception
28 Apr 2023
Base currency
GBP
Asset class
Real Estate
Strategy
Core / Core Plus
Geographic focus
Europe
Investor type
Professional
Distribution scope
Domestic
Distribution countries
United Kingdom
Minimum investment
Subscription frequency
Redemption frequency
Notice period
Hard lock-up
Soft lock-up
NAV frequency
SFDR
Article 6
Risk indicator (SRI)
5 of 7

Subscriber data

AuM history

8 quarters on file

Fees and costs

2 of 12 fee fields on file

Peer comparison

42 comparable funds in the database

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For professional investors. Approved within one business day. No credit card.

Documents

Frequently asked questions

Who manages Aviva Investors Real Estate Active LTAF?
Aviva Investors Real Estate Active LTAF is managed by Aviva Investors.
What is an evergreen fund?
An evergreen fund is an open-ended private markets vehicle with no fixed end date: investors subscribe and redeem at recurring intervals instead of committing to a closed fund term.

Novantigo tracks 472 evergreen funds and ELTIFs with up to 50 data points per fund, sourced from prospectuses, KIDs, factsheets and regulatory registers, updated quarterly. Data as of 30 Jun 2026.

Similar funds: Aviva Investors Climate Transition Real Assets LTAF · Aedgis Commercial Real Estate Decarbonisation Fund (ACRED) · Aged Care Social Infrastructure Fund (ACSIF)
Full data for professional investors