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Real Estate Investment Funds

September 2009

In September 2009, the amount under management by Real Estate Investment Funds (REIF)[1] rose  0.6% up to  €10,027.6 million, (€9,971.6 million in August).  The Special Real Estate Investment Funds (SREIF) eased 0.6% up to €1,683.0 million (€1,673.6 million in the previous month).

The amount under management by the REIF and SREIF recorded a growth of 10.11% to €11,710.6 million (€10,635.2 million in December 2008) since the beginning of the year.

The most sought after region for real estate investment (99.9% of the total investment) continued to be the EU Member States.

Fundimo (12.3%), Interfundos (10.3%) and ESAF (10.2%) were the management entities with the largest market share. The Real Estate Fund 'Fundimo', managed by Fundimo, recorded the largest amount under management (€844.4 million).

Two Management Funds of Real Estate Assets (FUNGEPI) of Fimoges were included in the Real Estate Investment Funds category: 'FGPI Fungepi BES' and 'Fungere – FGPI'.

Table 1 – Aggregate Benchmarks

Unit: 10^6 EUR

 

REIF

SREIF

 

Sep - 09

Aug-09

Monthly D

Sep - 09

Aug-09

Monthly D

No. of Fund Operators

31

31

0

22

22

0

Assets under Management (1)

10,027.6

9,971.6

0.6%

1,683.0

1,673.6

0.6%

    Open-End

4,886.2

4,824.5

1.3%

171.7

167.4

2.6%

    Closed-End

5,141.4

5,147.1

-0.1%

1,511.3

1,506.3

0.3%

No. of Funds (2)

153

153

0

90

90

0

    Open-End

15

15

0

1

1

0

    Closed-End

138

138

0

89

89

0

Mean Capitalisation of Funds [(1)/(2)]

66.0

65.2

0.80

18.7

18.6

0.10

Note: The managing entities of Real Estate Investment Funds(REIF) also manage Special Real Estate Investment Funds (SREIF)


Table 2 – Investment per Type of Asset and Market

Unit: 10^6 EUR

 

Sep - 09

Open-End

Closed-End

Value

% Total

Monthly D

Value

% Total

Monthly D

Real Estate situated in the EU

4,880.4

96.5%

0.5%

8,245.4

123.9%

0.2%

Land

216.2

4.3%

2.7%

1,765.0

26.5%

-0.4%

Reconstruction

13.6

0.3%

0.1%

157.3

2.4%

-3.8%

Other Construction Projects

135.8

2.7%

-13.0%

1,829.5

27.5%

0.0%

Completed Construction

4,479.1

88.6%

0.9%

4,398.4

66.1%

0.7%

Rights

35.8

0.7%

0.7%

95.2

1.4%

0.0%

Real Estate situated outside the EU

0.0

0.0%

-

12.4

0.2%

4.0%

Land

0.0

0.0%

-

0.0

0.0%

-

Reconstruction

0.0

0.0%

-

0.0

0.0%

-

Other Construction Projects

0.0

0.0%

-

0.0

0.0%

-

Completed Construction

0.0

0.0%

-

12.4

0.2%

4.0%

Rights

0.0

0.0%

-

0.0

0.0%

-

Sub-Total Real Estate

4,880.4

96.5%

0.5%

8,257.9

124.1%

0.2%

Investment Units

55.1

1.1%

2.8%

66.7

1.0%

0.3%

Investment Units in Real Estate Companies

167.0

3.3%

0.3%

191.8

2.9%

0.3%

Liquidity

278.1

5.5%

10.8%

440.2

6.6%

0.5%

Spot

205.8

4.1%

4.8%

134.9

2.0%

-7.9%

Forward

72.2

1.4%

32.2%

305.2

4.6%

4.7%

Loans

-457.0

-9.0%

-4.6%

-2,199.0

-33.1%

-0.3%

Other sums to be settled

134.3

2.7%

-7.0%

-104.8

-1.6%

40.4%

Sub-Total

177.4

3.5%

30.3%

-1,605.2

-24.1%

1.3%

TOTAL

5,057.9

100.0%

1.32%

6,652.7

100.0%

0.0%



Table 3 – Purpose of the Real-Estate

Unit: 10^6 EUR

 

Sep - 09

Open-End

Closed-End

Value

% Total

Monthly D

Value

% Total

Monthly D

Real Estate situated in the EU

4,628.4

100.0%

0.4%

6,385.2

99.8%

0.4%

Housing

231.7

5.0%

-0.5%

1,271.5

19.9%

-0.2%

Commerce

856.7

18.5%

4.1%

1,310.8

20.5%

0.8%

Services

2,213.6

47.8%

0.2%

1,773.2

27.7%

0.7%

Others

1,326.5

28.7%

-1.3%

2,029.7

31.7%

0.2%

Real Estate situated outside the EU

-

-

-

12.4

0.2%

4.0%

Housing

-

-

-

-

-

-

Commerce

-

-

-

-

-

-

Services

-

-

-

-

-

-

Others

-

-

-

12.4

0.2%

4.0%

TOTAL

4,628.4

100.0%

0.41%

6,397.7

100.0%

0.4%

Note: Land and Rights are not included in the definition of 'Real Estate'.


Table 4 – Number of Funds and Market Share 

Entity

Sep - 09

Monthly D

No.

Market Share

No.

Market Share

Fundimo

27

12.3%

0

0.16 p.p.

Interfundos

48

10.3%

0

-0.02 p.p.

ESAF

27

10.2%

0

0.04 p.p.

BPN Imofundos

9

7.5%

0

-0.03 p.p.

 Fimoges 7.4% 0 -0.05 p.p. 

Santander Asset Management

5

7.3%

0

-0.01 p.p.

Banif Gestão de Activos

11

6.4%

0

-0.02 p.p.

Norfin

12

5.9%

0

-0.02 p.p.

Millennium BCP

2

3.1%

0

-0.01 p.p.

Sonaegest

2

2.8%

0

0 p.p.

Finivalor

4

2.8%

0

0.03 p.p.

 Gesfimo  12  2.8%

0

-0.02 p.p.

Silvip

1

2.7%

0

0.04 p.p.

Fund Box

12

2.4%

0

-0.02 p.p.

Square Asset Management

3

2.3%

0

0.07 p.p.

Selecta

6

2.2%

0

-0.01 p.p.

Imopólis

1

1.9%

0

-0.01 p.p.

Fundiestamo

2

1.6%

0

-0.01 p.p.

BPI Gestão de Activos

2

1.5%

0

0.03 p.p.

TF Turismo Fundos

2

0.9%

0

0 p.p.

TDF

1

0.8%

0

0 p.p.

Refundos

1

0.8%

0

0 p.p.

Imorendimento

7

0.7%

0

-0.01 p.p.

 GEF 8 0.7% 0 0.01 p.p.

Popular Gestão de Activos

5

0.7%

0

-0.02 p.p.

Atlantic

7

0.6%

0

0 p.p.

SGFI

7

0.4%

0

-0.01 p.p.

Vila Galé Gest

1

0.3%

0

0 p.p.

Orey Gestão de Activos

5

0.2%

0

0 p.p.

Floresta Atlântica

1

0.2%

0

0 p.p.

Invest Gestão de Activos

2

0.1%

0

0 p.p.

Fibeira Fundos

1

0.1%

0

0 p.p.

Privado Fundos

1

0.1%

0

0 p.p.

Valor Alternativo Gestão de Activos

1

0.1%

0

0 p.p.

MNF Gestão de Activos

3

0.0%

0

0 p.p.

Correia & Viegas

0

0.0%

0

-0.11 p.p.

TOTAL

243

100.0%

0

-

Legend: p.p. – percentage points.


Table 5 – Ten largest funds

Unit: 10^6 EUR

Entity

Fund

Sep - 09

Monthly D

Value

%

Value

Fundimo

FUNDIMO

844.4

7.2%

3.1%

ESAF

GESPATRIMÓNIO RENDIMENTO

819.4

7.0%

0.3%

Santander Asset Management

NOVIMOVEST

450.8

3.8%

0.7%

BPN

F. INVEST. IMOBILIÁRIO ABERTO BPN IMONEGÓCIOS

407.5

3.5%

0.3%

Banif Gestão de Activos

BANIF IMOPREDIAL - F. INVEST. IMOBIL. ABERTO

380.6

3.3%

0.6%

Fimoges 

FUNGERE* 

352.4 3.0%  -0.2%

Silvip

FUNDO DE VALORES E INVESTIMENTOS PREDIAIS - VIP

315.6

2.7%

2.0%

Millennium BCP

AF PORTFÓLIO IMOBILIÁRIO

309.4

2.6%

0.1%

Fimoges

FUNDES

298.2

2.5%

0.1%

Interfundos

IMORENDA

263.2

2.4%

0.0%

Finivalor

FINIPREDIAL

265.6

2.3%

1.7%

Others

 

7,266.6

62.1%

0.3%

 

TOTAL

11,710.6

100.0%

0.6%

Note: In descending order of the amounts managed by the funds during the last period under analysis.
* FUNGEPI = Management Funds of Real Estate Assets


Unless otherwise stated, the data contained in this report is based on information submitted to the CMVM by the Management Entities, in accordance with the legislation in force. The funds established pursuant to Ministerial Order No. 264/95, of 11th August, are not included herein. 'Fundo de Investimento Imobiliário Urbifundo' and the respective managing entity, Companhia Gestora do Fundo de Investimento Imobiliário Urbifundo SA, were also not included due to the respective compulsory liquidation (Resolution by the Executive Board of the CMVM on 22nd January 2009). The information used dates back to 14th October 2009 being the provisional results. Monthly variation (monthly D) always refers to the comparison between the month under analysis and the previous one.The 'Correia & Viegas' Real Estate Investment Fund managed by Correia & Viegas is not included in the amount under management of the Real Estate Investment Funds (REIF) for the period under analysis.