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AIMS PROPERTY SECURITIES FUND — Investor Relations & Filings

Ticker · APW ISIN · AU000000APW5 ASX Financial and insurance activities
Filings indexed 964 across all filing types
Latest filing 2015-02-15 Capital/Financing Update
Country AU Australia
Listing ASX APW

About AIMS PROPERTY SECURITIES FUND

https://www.aims.com.au

AIMS Property Securities Fund is a managed investment scheme focused on investing in a diversified portfolio of listed and unlisted real estate securities. The fund aims to provide investors with a combination of regular income and long-term capital growth. Its investment strategy involves identifying opportunities across various property sectors, including retail, office, industrial, and residential, through investments in real estate investment trusts (REITs), unlisted property syndicates, and other property-related companies. Managed by AIMS Fund Management Limited, the fund leverages professional expertise to navigate the complexities of the property securities market, offering exposure to high-quality underlying real estate assets that may otherwise be inaccessible to individual investors. The fund prioritizes risk management and strategic asset allocation to optimize returns for its unitholders.

Recent filings

Filing Released Lang Actions
Fund Update 3 pages 103.6KB
Capital/Financing Update Classification · 95% confidence The document is an announcement dated 16 February 2015 from AIMS Fund Management Limited regarding an investment update for the AIMS Property Securities Fund. It details the Fund's investment in another property fund, the issuance of units, income distribution rates, and financing arrangements. The document also provides background information about the company and its history, but it does not contain comprehensive financial statements or detailed financial performance data. The length of the document (7,654 characters) and the content indicate it is an update or announcement rather than a full financial report. There is no indication that this is an annual or interim report, earnings release, or detailed investor presentation. The focus on investment activity and fund update aligns best with a Capital/Financing Update (CAP) category, as it discusses investment transactions, unit issuance, and financing facilities. Therefore, the appropriate classification is Capital/Financing Update (CAP).
2015-02-15 English
Appendix 3E 2 pages 122.6KB
Transaction in Own Shares Classification · 95% confidence The document is titled 'Appendix 3E Daily share buy-back notice' and contains detailed information about the company's on-market share buy-back activity, including number of shares bought back, prices paid, compliance statements, and dates. It is a regulatory form related to share repurchase activity. The content is specific to a share buy-back transaction and does not contain financial statements or broader financial results. Therefore, it fits the category of 'Transaction in Own Shares' (POS). The document length is 2384 characters, which is consistent with a notice rather than a full report. Hence, the classification is POS with high confidence.
2015-02-12 English
Appendix 3C 3 pages 86.5KB
Transaction in Own Shares Classification · 100% confidence The document is titled 'Appendix 3C Announcement of buy-back' and contains detailed information about a company's on-market buy-back of shares, including the type of buy-back, class of shares, voting rights, number of shares, broker details, duration, and compliance statements. This matches the description of a report of the company buying back its own shares (share repurchase/issuance). The document is not an announcement of a report but the actual announcement of the buy-back itself. Therefore, it fits the category 'Transaction in Own Shares' (POS). The document length and content confirm it is not a brief announcement or a regulatory filing but a formal buy-back announcement.
2015-02-04 English
Change in APW Investment Guidelines 4 pages 119.3KB
Capital/Financing Update Classification · 95% confidence The document is an ASX announcement dated 27 January 2015 regarding changes to the investment guidelines of the AIMS Property Securities Fund. It details amendments to investment criteria such as maximum underwriting exposure, maximum investment in any one security, and other fund management parameters. The document is an announcement of changes to fund investment guidelines rather than a full financial report, earnings release, or regulatory filing. It does not contain financial statements or detailed financial analysis, nor is it a report publication announcement or certification. The content fits best under Capital/Financing Update (CAP) as it relates to fund investment guidelines and capital management policies.
2015-01-26 English
Fund Update 3 pages 116.3KB
Capital/Financing Update Classification · 95% confidence The document is an ASX announcement dated 27 January 2015 from AIMS Fund Management Limited providing an update on the AIMS Property Securities Fund. It details the settlement of units in another fund, the AIMS Property Fund (St Kilda Rd), including the number of units purchased and the total consideration paid. The document is a market announcement providing an update on fund activities and ownership percentages. It does not contain comprehensive financial statements, detailed financial analysis, or management discussion typical of an Annual Report (10-K) or Interim Report (IR). It is not a call transcript, audit report, or any other detailed report type. The document is longer than 5,000 characters but is clearly an announcement of a transaction/update related to fund holdings. Therefore, the most appropriate classification is Capital/Financing Update (CAP), as it relates to acquisition of units and fund investment activity.
2015-01-26 English
Fund Update 3 pages 163.5KB
Capital/Financing Update Classification · 95% confidence The document is an ASX announcement dated 24 December 2014 from AIMS Property Securities Fund. It details an investment announcement regarding the acquisition of a commercial property. The content focuses on fund updates, investment details, and background information about the fund manager and the financial group. There are no financial statements, comprehensive financial data, or detailed management analysis present. The document is an announcement of a fund investment activity rather than a full financial report or earnings release. It is not a regulatory filing or certification, nor does it relate to voting results, board changes, or legal proceedings. The document fits best as a Capital/Financing Update (CAP) because it announces a significant investment transaction by the fund.
2014-12-23 English

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