. CMVM - Statistics - Real Estate Investment Funds

CMVM

>> Main Menu: Statistics: Real Estate Investment Funds  

>> Main Menu: Statistics: Real Estate Investment Funds

Real Estate Investment Funds

October 2005

The value of assets managed by real estate funds reached 7,970.9 million Euro in October, an increase of 0.7% on the previous month. One new closed-end real estate fund was established: “Fundipar - Fundo Especial de Investimento Imobiliário Fechado”, operated by Millennium BCP.

Real estate situated in Member States of the European Union represented 89% of the value of assets managed by funds, of which 5,243.6 million Euro (65.8%) corresponded to finished buildings.

ESAF is the largest real estate fund management company, followed by BPN Imofundos and Fundimo. These three companies managed 43.3% of the real estate held by funds, which percentage shows a decrease in the level of concentration when compared to the previous month.

The value of assets managed by the 10 largest funds was equivalent, in the month in question, to 57.1% of the total. This percentage was similar to that registered in September (57.3%).

16 November 2005

Table 1 – Aggregated Benchmarks

Unit: 10^6 Euro

 

Oct - 05

monthly Δ

Assets under management (1)

7.970,9

0,7%

No. of fund operators

28

0

No. of Funds (2)

78

1

Mean capitalisation of funds [(1)/(2)]

102,2

-0,6

Table 2 – Investment per Type of Asset and Market

Unit: 10^6 Euro

 

Oct - 05

monthly Δ

Value

% Total

Property located in the EU

7.097,7

89,0%

0,3%

   Land

870,5

10,9%

0,6%

   Reconstruction

31,5

0,4%

26,2%

   Other Construction Projects

941,8

11,8%

1,4%

   Completed Const ruction

5.243,6

65,8%

0,0%

   Rights

10,2

0,1%

0,9%

Property located outside the EU

0,0

0,0%

0,9%

   Land

0,0

0,0%

-

   Rehabilitation Construction

0,0

0,0%

-

   Other Construction Projects

0,0

0,0%

-

   Completed Construction

0,0

0,0%

-

   Rights

0,0

0,0%

-

Sub-Total Property

7.097,7

89,0%

-

Investment Units

8,2

0,1%

-

Investment units in Real Estate Companies

156,4

2,0%

0,3%

Liquidity

749,2

9,4%

0,5%

   Spot

285,3

3,6%

-0,1%

   Forward

464,0

5,8%

-0,9%

Loans

-176,2

-2,2%

-0,7%

Other sums to be settled

135,5

1,7%

-1,0%

Sub-Total

873,2

11,0%

-14,3%

TOTAL

7.970,9

100,0%

 

Table 3 – Purpose of Property

Unit: 10^6 Euro

 

Out-05

monthly Δ

Value

% Total

Property located in the EU

6.217,0

100,0%

0,3%

   Housing

458,5

7,4%

6,0%

   Commerce

1.338,6

21,5%

-1,4%

   Services

2.819,5

45,4%

0,6%

   Others

1.600,4

25,7%

-0,4%

Property located outside the EU

-

-

-

   Housing

-

-

-

   Commerce

-

-

-

   Services

-

-

-

   Others

-

-

-

TOTAL

6.217,0

100,0%

0,3%

Table 4 – Number of Funds and Market Share (10 largest)

Unit: 10^6 Euro

Entity

Oct - 05

monthly Δ

No.

Market Share

No.

Market Share

ESAF

3

18,4%

0

-0,22 p.p.

BPN Imofundos

6

13,3%

0

-0,04 p.p.

Fundimo

10

11,6%

0

-0,1 p.p.

Santander Gestão de Activos

4

8,7%

0

-0,07 p.p.

Millennium BCP

9

7,9%

1

0,03 p.p.

TDF

3

6,9%

0

-0,05 p.p.

Banif Gestão de Activos

4

6,5%

0

0,14 p.p.

Norfin

8

5,4%

0

-0,03 p.p.

Silvip

1

3,3%

0

0,03 p.p.

Imopólis

1

3,2%

0

-0,02 p.p.

Others

29

14,7%

0

0,33 p.p.

TOTAL

78

100,0%

1

-

Legend: p.p. – percentage points.

Table 5 – Ranking of Funds (10 largest)

Unit: 10^6 Euro

Entity

Fund

Oct - 05

monthly Δ
Value

Value

%

ESAF

GESPATRIMÓNIO RENDIMENTO

1.420,6

17,8%

-0,4%

Fundimo

FUNDIMO

679,0

8,5%

0,6%

BPN Imofundos

F. INVEST. IMOBILIÁRIO ABERTO BPN IMONEGÓCIOS

541,6

6,8%

0,7%

Banif Gestão de Activos

BANIF IMOPREDIAL - F. INVEST. IMOBIL. ABERTO

357,3

4,5%

4,2%

Santander Gestão de Activos

NOVIMOVEST

276,3

3,5%

-0,4%

Millennium BCP

AF PORTFÓLIO IMOBILIÁRIO

270,3

3,4%

0,3%

Silvip

FUNDO DE VALORES E INVESTIMENTOS PREDIAIS - VIP

264,4

3,3%

1,7%

TDF

IMORENDA

263,4

3,3%

0,0%

Imopólis

IMODESENVOLVIMENTO

251,9

3,2%

0,1%

Millennium BCP

IMOSOTTO ACUMULAÇÃO

227,5

2,9%

-0,1%

Others

3.418,5

42,9%

1,2%

TOTAL

7.970,9

100,0%

0,7%

Note: Decreasing order of amounts managed by funds in the last period under analysis.

 

1 The data presented in this report is based, unless otherwise stated, on information submitted to the CMVM by Securities Investment Fund Operators, in accordance with the legislation in force. The information used relates to 29 November 2005 . Monthly variation (monthly Δ) always refers to the comparison between the month under analysis and the previous one .