LoginAccess fund
Log in to your account

Welcome back! Please enter your details.

Latest News
More insights
Catholic Values Trust update and Income Trust update
Catholic Values Trust & Income Trust update – June Quarter 2026

In this quarterly update, David discusses the strong June quarter,…

Read post
July 2026: More Hawks than Doves.

Episode #15 of The Active Investor with SGH dives into…

Read post
Log in to your account

Welcome back! Please enter your details.

Sign upLogin
Latest News
More insights
Catholic Values Trust update and Income Trust update
Catholic Values Trust & Income Trust update – June Quarter 2026

In this quarterly update, David discusses the strong June quarter,…

Read post
July 2026: More Hawks than Doves.

Episode #15 of The Active Investor with SGH dives into…

Read post
Log in to your account

Welcome back! Please enter your details.

lasalle logo

LaSalle Concentrated Global 
Property Fund

The SGH LaSalle Concentrated Global Property Fund is an actively managed global property fund investing in listed global REITs (G-REITs) and real estate operating companies (REOCs).

lasalle concentrated global fund banner

Fund overview

Investors can choose from the following three investment options, each providing exposure to a globally diversified listed property portfolio, with differences relating primarily
to fee structure and currency hedging.

Before deciding whether to invest, investors should carefully read the Fund’s Target Market Determination (TMD) and Product Disclosure Statement (PDS), including all incorporated information. Investors should ensure that the Fund’s features, risks, and investment strategy, as described in the TMD and PDS, align with their investment objectives, financial situation, and needs.

Fund overview

Fund update

Fund Type

SGH LaSalle Concentrated Global Property Fund

The SGH LaSalle Concentrated Global Property Fund is an actively managed global property portfolio that invests primarily in listed global real estate investment trusts (G-REITs) and real estate operating companies (REOCs).

The Fund seeks to deliver total return through a combination of long-term capital growth and rental income, offering investors exposure to the income and capital attributes of property ownership, together with the liquidity of listed securities.

At a glance

APIR code
ETL0394AU
mFund code
SHF06
Minimum investment
$20,000
Management cost
0.70%
Distributions per annum
2
Commencement date
29/01/2014
Asset class
Property
Benchmark
Not applicable. Performance hurdle of 8% p.a. (after fees)
Investment objective
The Fund seeks to provide total return through long-term capital appreciation and current income by investing primarily in equity and equity-related securities issued by Australian and international property entities. It provides investors exposure to attributes of property ownership along with liquidity offered by tradable securities. The Fund focuses on select investment opportunities with compelling valuations due to deep value, property sector or market dislocation, underappreciated growth prospects, or identifiable catalysts.

Performance

Performance as at 30 April 2026. Powered by data from Financial Express. For funds with less than 5 yrs performance history, refer to fact sheet for since inception returns.

1M 3M 6M 1Y 3Y 5Y 7Y 10Y ENTRY NAV EXIT DATE HISTORY
1.33% 5.70% 10.94% 17.10% 9.76% 6.33% 7.29% 5.89% $1.1114 $1.1086 $1.1058 06/08/2026

LaSalle Concentrated Global Property Fund M Class

The M Class mirrors the investment strategy and portfolio composition of the SGH LaSalle Concentrated Global Property Fund. The primary difference relates to the performance fee structure, with the M Class applying a relative performance fee calculation.

Please refer below for further details on performance fees

At a glance

APIR code
ETL3670AU
mFund code
-
Minimum investment
$20,000
Management cost
0.70%
Distributions per annum
2
Commencement date
29/01/2014
Asset class
Property
Benchmark
Not applicable. Performance fee is payable when the investment performance exceeds the FTSE EPRA/NAREIT Developed Index (Hedged to AUD), (Net of Withholding Tax), (After Management Fees).
Investment objective
The Fund seeks to provide total return through long-term capital appreciation and current income by investing primarily in equity and equity-related securities issued by Australian and international property entities. It provides investors exposure to attributes of property ownership along with liquidity offered by tradable securities. The Fund focuses on select investment opportunities with compelling valuations due to deep value, property sector or market dislocation, underappreciated growth prospects, or identifiable catalysts.

Performance

Performance as at 30 April 2026. Powered by data from Financial Express. For funds with less than 5 yrs performance history, refer to fact sheet for since inception returns.

1M 3M 6M 1Y 3Y 5Y 7Y 10Y ENTRY NAV EXIT DATE HISTORY
1.35% 5.52% 10.75% 17.41% - - - - $1.1058 - $1.1002 06/08/2026

LaSalle Concentrated Global Property Fund M Series (Unhedged)

The M Series (Unhedged) also mirrors the investment strategy of the SGH LaSalle Concentrated Global Property Fund. It differs in that it is unhedged for currency exposure and applies a different performance fee structure, based on a relative performance fee calculation.

Further details are provided below.

At a glance

APIR code
ETL0005AU
mFund code
-
Minimum investment
$20,000
Management cost
0.70%
Distributions per annum
2
Commencement date
31/10/2003
Asset class
Property
Benchmark
Not applicable. Performance fee is payable when the investment performance exceeds the FTSE EPRA/NAREIT Developed Index Net TRI (unhedged) (After Management Fees).
Investment objective
The Fund seeks to provide total return through long-term capital appreciation and current income by investing primarily in equity and equity-related securities issued by Australian and international property entities. It provides investors exposure to attributes of property ownership along with liquidity offered by tradable securities. The Fund focuses on select investment opportunities with compelling valuations due to deep value, property sector or market dislocation, underappreciated growth prospects, or identifiable catalysts.

Performance

Performance as at 30 April 2026. Powered by data from Financial Express. For funds with less than 5 yrs performance history, refer to fact sheet for since inception returns.

1M 3M 6M 1Y 3Y 5Y 7Y 10Y ENTRY NAV EXIT DATE HISTORY
-0.06% 6.09% 8.50% 13.62% 8.65% 2.90% 4.01% 4.14% $1.9018 $1.8971 $1.8924 06/08/2026

Investment Parameters

The Fund’s investment management structure comprises two components:

  1. SGHiscock Investment Management acts as the overall investment manager, with responsibility for currency management.
  2. LaSalle Investment Management Securities, LLC (LaSalle) has been appointed as sub-investment manager for the Fund’s global investment portfolio.

The Fund seeks to capitalise on high-conviction global investment opportunities that exhibit strong underlying fundamentals, attractive valuations, and long-term return potential. The investment strategy is benchmark-unaware, allowing for flexible capital allocation across global markets.

The strategy focuses on companies that demonstrate one or more of the following characteristics:

  • Deep value opportunities
  • Underappreciated growth potential
  • Dislocation within a property sector or geographic market
  • Clearly identifiable catalysts to unlock value

Investment and ESG related restrictions

SGHiscock Investment Management and LaSalle Investment Management apply the following investment and portfolio construction guidelines when selecting assets for the Fund:

  • The Fund typically targets 10 to 20 stocks, listed or expected to be listed on an approved stock exchange
  • No individual security may represent more than 20% of the Fund’s net assets
  • The Fund may invest up to 100% of its assets in global listed securities, including Australian-listed investments
  • International currency exposure is generally hedged back to Australian dollars (AUD)
  • The Fund may hold cash of up to 100% of the portfolio, depending on market conditions

Research Ratings

Awards

Our Specialists

SGH Investment Team

Chris Battista

Chris Battista

Securities Global Portfolio Manager
Brenden Gannon, CFA

Brenden Gannon, CFA

Securities Global Portfolio Manager
Paul Meierdierck, CFA

Paul Meierdierck, CFA

Securities Global Portfolio Manager
Greg Miller, CFA

Greg Miller, CFA

Securities Global Portfolio Manager
Our Specialists

Funds Distribution Team

Our team is responsible for the retail distribution and marketing for our funds and have expertise with Financial Advisers, platforms and researchers. Our team of industry professionals have extensive knowledge and resources to support you and your clients with tailored investment solutions. Contact them today to discuss our funds in more detail.

Anthony Cochran

Anthony Cochran

Head of Distribution
Alastair McKibbin

Alastair McKibbin

Head of Research and Consultants
Matthew Potter

Matthew Potter

Senior Investment Specialist
Nick Simpson

Nick Simpson

Business Intelligence & Data Manager
Jason Smit

Jason Smit

Business Development Manager
Investor Guides

Investment Guides & Information

How to Invest
Monthly Fact Sheet
Product Disclosure Statement (PDS)
Reference Guide
Target Market Determination (TMD)
Annual Report
Investor Guides

Investment Guides & Information

How to Invest
Annual Report
Monthly Fact Sheet
Product Disclosure Statement (PDS)
Target Market Determination (TMD)
Reference Guide

Need some help?

Get in touch if you require further information or support on the fund.