Real Assets / Hard AssetsIncomeREIT heavyGrowthLow complexity

Global REIT Portfolio

A pure listed real-estate portfolio using global REIT exposure.

Asset allocation

Global REITs
100%

History

Global REIT funds made international property exposure accessible through public markets.

Philosophy

Own a diversified basket of listed real-estate companies as a dedicated growth sleeve.

Performance

How this allocation behaved across modern markets

Annual rebalancing, local bond and cash proxies where relevant, and optional inflation adjustment through CPI.

Open full performance view
1970-2024Log scale
5.64x3.71x2.45x1.61x1.06x19701984199720112024

CAGR

2.3%

1970-2024

Max drawdown

-37.8%

Volatility

7.7%

Worst year

-21.8%

2022

Implementation

Local products and proxies

🌐 Global REIT Portfolio implementation

Long-term individual investor

Use broad, low-cost funds or ETFs matching each asset class.

Account notes: Implementation depends on local account types and tax wrappers.

Costs: Prefer low-cost, liquid vehicles.

Rebalancing: Annual rebalancing or tolerance bands.

Tax: Country-specific tax treatment should be reviewed before implementation.

Product names are implementation examples for research. Availability, taxation, share classes and suitability should be checked with the investor's broker and tax situation.

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