Brookfield Global Listed Real Estate UCITS Fund Euro Institutional Unhedged Acc Class B

Register to Unlock Ratings
Management
DomicileIreland
Legal StructureOpen Ended Investment Company
UCITSYes
Inception Date30/11/2011
Fund Advisor(s)
Brookfield Public Securities Group LLC
Fund ManagerBernhard Krieg
Manager Start Date30/11/2011
Career Start Year1999
Education
Technical University (Dresden, Germany), B.A./B.S.
Texas A&M University, M.A.
 
Biography
Bernhard Krieg, CFA — Managing Director and Portfolio Manager. Mr. Krieg has 22 years of industry experience and is a Portfolio Manager on the Public Securities Group’s Real Estate Securities team. In his role he oversees and contributes to the portfolio construction process, including execution of buy/sell decisions. Prior to joining the Brookfield in 2006, Bernhard was a Senior Vice President at Haven Funds and a Vice President at Security Capital. He holds the Chartered Financial Analyst® designation. Bernhard earned a Master of Business Administration degree from Texas A&M University and his undergraduate equivalent in Business Administration and Civil Engineering from the Technical University in Dresden, Germany. Mr. Krieg has served as Co-Portfolio Manager of the Global Real Estate Fund, Real Assets Securities Fund and the U.S. Real Estate Fund since their respective inception dates.
Fund ManagerJulian Perlmutter
Manager Start Date01/06/2022
 
Biography
Julian Perlmutter, CFA – Director and Portfolio Manager. Julian Perlmutter has 19 years of industry experience and is a Director on the Public Securities Group’s Real Estate Securities team. His responsibilities include performing individual securities analysis as well as fundamental industry-and property-related research. He focuses on the U.S. Self Storage, Towers, and Data Center sectors, as well as Asian markets including Hong Kong and China. Prior to joining the firm in 2012, Julian was a Vice President at Cohen & Steers Capital Management Inc. based in New York and then Hong Kong covering Asian securities. Julian also worked as an analyst at Morningstar Inc. focusing on the U.S. Hotel and Apartment REIT sectors. He holds the Chartered Financial Analyst® designation and earned a Bachelor of Business Administration degree from Loyola University in Chicago.
Fund ManagerRichard Sweigard
Manager Start Date01/06/2022
 
Biography
Richard Sweigard – Director and Portfolio Manager. Richard Sweigard has 21 years of industry experience and is a Director on the Public Securities Group’s Real Estate Securities team. His responsibilities include performing individual securities analysis as well as fundamental industry-and property-related research. Richard assists in construction, execution, and daily oversight of several portfolio strategies. In addition, he focuses on the U.S. Office, Diversified and Regional Malls sectors, as well as Singapore. Prior to joining the firm in 2005, he was an analyst at KeyBanc Capital Markets, a division of McDonald Investments. Richard earned a Bachelor of Business Administration degree from the University of Wisconsin-Madison.
Fund ManagerBrandon Benjamin
Manager Start Date01/06/2022
Career Start Year2006
Education
Lafayette College, BA
ersity Kelley School of Business, M.B.A.
Indiana University Maurer School of Law, J.D.
 
Biography
Brandon Benjamin has 17 years of industry experience and is a Director on the Public Securities Group's Real Estate Securities team. He is responsible for assisting in construction, execution and daily oversight of several portfolio strategies. In addition to his portfolio management duties, Brandon also maintains coverage of U.S. Retail and Japan. Prior to joining the firm in 2019, Brandon was a Global Real Estate Senior Investment Analyst at American Century Investments. Brandon earned a Juris Doctor degree from Indiana University Maurer School of Law, a Master of Business Administration degree from Indiana University Kelley School of Business, and a Bachelor of Arts degree in Economics and Business from Lafayette College.
Advertisement
In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstar’s proprietary calculation methodology which is set out in more detail at(https://www.morningstar.com/research/signature)
© Copyright 2024 Morningstar, Inc. All rights reserved.

Terms of Use        Privacy Policy        Modern Slavery Statement        Cookie Settings        Disclosures