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
Request free access
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.
Full data for professional investors