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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 2010-05-31 Net Asset Value
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
MPS Portfolio Update 5 pages ?Kb
Net Asset Value Classification · 95% confidence The document is titled 'MacarthurCook Property Securities Fund – Portfolio Update' dated 1 June 2010 and contains detailed financial data such as balance sheet figures, net tangible asset values (NTA), asset allocation, market capitalization, and investment strategy updates. It includes unaudited accounts and discusses fund performance, sector and geographic exposure, and recent investment activities. The document is not a full annual or interim report but rather a periodic update focusing on portfolio and financial position details. It does not appear to be an earnings release, call transcript, or regulatory filing. The presence of unaudited financial data and NTA updates strongly suggests this is a Net Asset Value (NAV) update document, which is typical for investment funds providing regular NAV information to investors. Therefore, the most appropriate classification is NAV (Net Asset Value).
2010-05-31 English
Letter to Shareholders 3 pages ?Kb
Regulatory Filings
2010-05-11 English
PPI: MacarthurCook Property Securities Fund 4 pages ?Kb
Legal Proceedings Report Classification · 95% confidence The document is an ASX release dated 12 May 2010 announcing that MacarthurCook Property Securities Fund has commenced legal proceedings to recover an alleged debt from RFML Limited. It discusses the dispute over the debt and the context of acquisition by Pelorus Property Group. There is no financial data, no report attached or referenced as being published, and the content focuses on legal action. This fits the category of Legal Proceedings Report (LTR) as it updates on significant legal matters involving the company.
2010-05-11 English
Debt Management Update 2 pages ?Kb
Regulatory Filings
2010-03-31 English
Reinstatement to Official Quotation (8/03/10) 1 pag
Report Publication Announcement Classification · 95% confidence The document is a market release announcing the reinstatement to official quotation of MacarthurCook Property Securities Fund's securities following the lodgement of their Half Year Report for the period ended 31 December 2009. The text is very short (502 characters) and does not contain the actual Half Year Report or substantive financial data, but rather announces that the suspension will be lifted after the report lodgement. This fits the criteria for a Report Publication Announcement (RPA), as it is an announcement about the timing of a report's availability rather than the report itself.
2010-03-04 English
Half Yearly Report and Accounts 35 pages ?Kb
Regulatory Filings
2010-03-04 English

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