This site has been created for exclusive use by institutional investors only and does not take into account investment objectives, financial situation or specific needs of any individual investor. Information should not be the sole basis for any investment decision.
If you are not an institutional client, consultant or financial professional and are looking for more information about mutual funds and other products at Nuveen, please visit our site at www.nuveen.com.
Past performance is not a guarantee of future performance. All investments involve some degree of risk including loss of principal. Investment objectives may not be met.
By agreeing you are confirming you are being truthful, acknowledging you have read the information above and accept the terms and conditions set out with this site and meeting the intended audience requirement for this site. Not all content on this site is appropriate or applicable for the general public and we cannot guarantee consequences with the use of this information by unauthorized or unintended users. Content on this site may not be redistributed and is for informational purposes only and does not constitute investment advice or provide a solicitation of an offer to buy any security.
We use cookies to personalize content and ads, to provide social media features and to analyze our traffic. Unless you change your browser setting to block cookies, you are agreeing to their use as explained in our privacy notice and cookies policy.
We use cookies to personalize content and ads, to provide social media features and to analyze our traffic. Unless you change your browser setting to block cookies, you are agreeing to their use as explained in our privacy notice and cookies policy.
Necessary cookies
These cookies are required to make our website usable by enabling basic functions. Our website cannot function properly without these cookies.
Preference cookies
These cookies enable our website to remember information that changes the way the website behaves or looks, like personalising your content, preferred language or location.
Statistical cookies
These cookies help us to understand how visitors interact with our website by collecting and reporting information anonymously. This helps us improve the designs of our website.
Marketing cookies
These cookies track your visit across the website. We use this information to provide you, and others like you, with targeted advertising and content we think will be of interest.
A city-based real estate opportunity that seeks to deliver defensive stable income return, diversification and capital growth.
Key features
Targets assets in European cities that we believe are best positioned for demographic and structural growth
Focuses on investments with structural performance drivers across all real estate sectors
Leverages our extensive pan-European on-the-ground local resources for transaction and asset management expertise
By combining our Research team’s city-focused approach, with the deep market insight and expertise of our European investment and asset management teams, we are strongly positioned to execute this strategy.
Our proprietary analysis of more than 4,000 cities has identified the top 2% of those cities that we believe are best positioned to benefit from global megatrends.
Real estate investments are subject to various risks, including fluctuations in property values, higher expenses or lower income than expected, and potential environmental problems and liability. Please consider all risks carefully prior to investing in any particular strategy. The portfolio’s concentration in the real estate sector makes it subject to greater risk and volatility than other portfolios that are more diversified and its value may be substantially affected by economic events in the real estate industry. economic events in the real estate industry. International investing involves risks, including risks related to foreign currency, limited liquidity particularly where the underlying asset comprises real estate, less government regulation in some jurisdictions, and the possibility of substantial volatility due to adverse political, economic or other developments.