Fund Monitors Pty Ltd

www.fundmonitors.com
© Copyright 2025
Printed: 03 October 2025 12:17 PM

Resolution Capital Global Property Securities Fund - Active ETF

View another fund from this manager:

Responsible Investing Approach

Resolution Capital integrates ESG considerations into its investment process to align itself with the six Principles of UN the PRI and incorporates ESG factors in stock analysis and as discussion points for broader engagement activities. 

Resolution Capital's ESG risk integration approach is primarily focused on assessing and managing the potential financial impact resulting from ESG risks on investment assets. When reviewing potential investment opportunities for the Fund, Resolution Capital will assess the risk of a permanent loss of capital due to an ESG risk by identifying events that could occur as a result of an asset's exposure to material ESG issues.

In terms of the extent to which the ESG considerations are taken into account, Resolution Capital has a framework it uses to assess ESG but does not apply a set methodology for taking such ESG considerations into account. Resolution Capital does not use a weighting system to apply a weight to the standards and considerations. Resolution Capital does not have a specific methodology for how labour standards considerations are taken into account in the selection, realisation and retention of the Fund's investments.

Documents

Exclusions

As a specialist investment manager focused on global listed real estate and infrastructure companies, Resolution Capital's investable universe means that companies involved in the production and distribution of alcohol, tobacco and the manufacture of controversial weapons are excluded, since they are outside of our investment universe. In its investment activities, the Fund Manager expects the companies it invests in to respect the human rights of its employees and the employees of companies in their supply chains, in line with international conventions, such as the UN Guiding Principles on Business and Human Rights and the 10 Principles of the UN Global Compact. Resolution Capital does not have a specific methodology for how labour standards considerations are taken into account in the selection, realisation and retention of the Fund's investments. In practice, Resolution Capital records labour disclosures where available, and takes into consideration responsible investment and labour standards frameworks, including UN Principals of Responsible Investment, UN Global Compact and UN Guiding Principles on Business and Human Rights to the extent they have a financial impact on the Fund's investments.

Exclusions Full/Partial Exclusion
Description
TobaccoTobacco Full

The Fund does not invest in companies that derive any revenue from the production and distribution of tobacco. Since such companies are outside of the Fund's investment universe.

AlcoholAlcohol Full

The Fund does not invest in companies that derive any revenue from the production and distribution of alcohol. Since such companies are outside of the Fund's investment universe.

WeaponsWeapons Full

The Fund does not invest in companies that derive any revenue from the manufacture of controversial weapons. Since such companies are outside of the Fund's investment universe.

Human rights abusesHuman rights abuses Partial

In its investment activities, the Fund Manager expects the companies it invests in to respect the human rights of its employees and the employees of companies in their supply chains, in line with international conventions, such as the UN Guiding Principles on Business and Human Rights and the 10 Principles of the UN Global Compact.

Labour rights violationsLabour rights violations Partial

Resolution Capital does not have a specific methodology for how labour standards considerations are taken into account in the selection, realisation and retention of the Fund's investments, however, it records labour disclosures where available and takes into consideration responsible investment and labour standards frameworks, including UN Principals of Responsible Investment, UN Global Compact and UN Guiding Principles on Business and Human Rights to the extent they have a financial impact on the Fund's investments.

Inclusions

Resolution Capital's ESG risk integration approach is primarily focused on assessing and managing the potential financial impact resulting from ESG risks on investment assets. When reviewing potential investment opportunities for the Fund, Resolution Capital will assess the risk of a permanent loss of capital due to an ESG risk by identifying events that could occur as a result of an asset's exposure to material ESG issues. 

Environmental, Social and Governance considerations are an integral part of ResCap's investment philosophy and are incorporated in stock analysis. The Fund Manager believes that strong ESG practices benefit the broader community and are additive to performance, ultimately rewarding investors through superior investment outcomes. ESG factors that the Fund Manager considers in its investment process for real estate strategies include whether companies have carbon reduction targets that align with the requirements of the Paris Agreement, as well as policies to increase energy, water, and waste efficiencies in their properties, as these practices lower operating expenses, making properties more profitable and sustainable in operations.

The integration of ESG into the investment process is supplemented by Resolution Capital's engagement policy and activities, which are designed to optimise their ability to affect outcomes and enhance investment decision-making. Resolution Capital's engagement activities include proxy voting. It is the policy of Resolution Capital to vote on all proxy resolutions it has the ability to vote on.

Renewable energy & energy efficiencyClimate action & towards net zeroGreen property

UN Sustainable Development Goals

Conventions & Treaties

Resolution Capital has been a signatory to the United Nations initiated Principles for Responsible Investment since 2010 and in October 2019 ResCap became a signatory to the UN Global Compact. Resolution Capital is an Investor Member of the Global Real Estate Sustainability Benchmark (GRESB) which enables it to collect reliable data for ESG reporting and make informed decisions about its investments. It is a member of the Ceres Investor Network and has been named a Responsible Investment Leader by RIAA.

Conventions & Treaties Aligned
Description
UN Global Compact Yes

Resolution Capital is a signatory to the United Nations Global Compact since 2019.

Principles for Responsible Investment Yes

Resolution Capital has been a signatory to the United Nations initiated Principles for Responsible Investment since 2010.

ESG Score

ESG Score
Does the portfolio have an ESG score? Not disclosed
If so, who is responsible for calculating the score? Not disclosed
If a score is calculated, is this publicly available; i.e. displayed in monthly reports, on your website, etc.? Not disclosed
If the portfolio has an ESG score, how often is that score recalculated to account for changes to portfolio holdings? Not disclosed

Impact Investing Score

Impact Investing Score
Does the portfolio have an Impact Investment score? Not disclosed
If a score is calculated, is this publicly available; i.e. displayed in monthly reports, on your website, etc.? Not disclosed
If the portfolio has an Impact Investment score, how often is that score recalculated to account for changes to portfolio holdings? Not disclosed
Does the fund publish its holdings publicly? Yes

Policies, Certification & Marketing

Policies, Certification & Marketing
Responsible investing policy View Responsible investing policy document
Proxy voting policy View Proxy voting policy document
Stewardship policy View Stewardship policy document
Is the fund RIAA certified? Yes
Date certified
Responsible Investment Stewardship Report 2023 View Responsible Investment Stewardship Report 2023 document
PRI Transparency Report 2023 View PRI Transparency Report 2023 document
Holdings View Holdings document
Fundmonitors.com

Resolution Capital Global Property Securities Fund - Active ETF

Strategy Summary

The Global Property Securities Fund invests primarily in REITS and real estate securities that are listed, or soon the be listed, on stock exchanges around the world that derive most of their returns from rental income and will also have some exposure to cash. The fund aims to achieve an annual total return that exceeds the FTSE EPRA/NAREIT Developed Index (AUD Hedged) Net TRI after fees on a rolling 3 year basis.

Key Terms

Status: Open Inception Date: Oct 2008
Strategy: Real Estate Style: Blend
Geography: Global Domicile: Australia
Investors: Retail Min. Investment: AU$25000
Mgmt. Fee: 0.8% Perf. Fee: 20%

Visit FundMonitors Profile

News and Insights

ESG Check

Australian Fund Monitors Pty Ltd
A.C.N. 122 226 724
AFSL 324476
Email: [email protected]
Live chat