Skip to content

Fund

CapMan Nordic Property Income Fund (non-UCITS)

Invest / funds

Finland, Sweden, Denmark, Norway

2017

Actively investing

€72m

Offices and necessity-driven retail assets

Finland

Finnish special investment fund

Fund management

Real Estate

Oskari Isolauri

Fund Director
CapMan

Fund information

Subscription

The fund is open for new subscriptions four times per year at the last banking day of March, June, September and December.

Term of the fund

The fund is open-end / evergreen with a continuous term.

Additional information and subscription forms

 

Development of NAV per share

Category5.12.201729.12.201729.3.201829.6.201828.9.201831.12.201829.3.201928.6.201930.9.201931.12.201931.3.202030.6.202030.9.202031.12.202031.3.202130.6.202130.9.202131.12.202131.03.202230.06.202230.09.202230.12.202231.03.202330.06.202329.09.202329.12.202328.03.202428.06.202430.09.202431.12.202431.03.202530.06.202530.09.202531.12.2025
Share Category A100.00000100.02583107.14940108.43109110.50387112.60820112.94904111.98515115.51757118.98062116.02654117.75992113.68442116.03309118.53721118.94640122.32992125.92090128.45948124.24969122.57300119.54335117.05316112.71864110.93365102.6965199.2599292.9727892.9200393.1147495.2235490.6628690.960688,20766
Share Category B100.00000100.02583107.14940108.43109110.50387112.60820112.94904111.98515115.51757118.98062116.02654117.75992113.68442116.03309118.53721118.94640122.32992125.92090128.45948124.24969122.57300119.54335117.05316112.71864110.93365102.6965199.2599292.9727892.9200393.1147495.2235490.6628690.960688,20766
Share Category C100.00000100.02583107.14940108.43109110.50387112.60820112.94904111.98515115.51757118.98062116.02654117.75992113.68442116.03309118.53721118.94640122.32992125.92090128.45948124.24969122.57300119.54335117.05316112.71864110.93365102.6965199.2599292.9727892.9200393.1147495.2235490.6628690.960688,20766
Share Category D100.00000100.02583107.14940108.43109110.50387112.60820112.94904111.98515115.51757118.98062116.02654117.75992113.68442116.03309118.53721118.94640122.32992125.92090128.45948124.24969122.57300119.54335117.05316112.71864110.93365102.6965199.2599292.9727892.9200393.1147495.2235490.6628690.960688,20766
Share Category E100.00000100.05876107.28819108.70906110.89760113.12584113.60569112.77731116.45398120.06550117.23076119.13078115.15311117.68058120.33867120.87474124.43797128.21944130.93327126.80107125.2484122.30566119.90797115.6124113.92413105.59707102.1895395.8377395.9069996.2293698.5306393.9290894.3569191,61708
Share Category Nordea000000000100.0000097.5171798.9740395.5486897.5226799.6273199.97122102.81498105.83310107.96671104.42849103.01928100.4729498.3800094.7369693.2367286.3136383.4252778.1410978.0967578.2604080.0327976.1996676.449974,13613

 

Profit distribution 2025 (Reconciliation date 27.5.2025)

Unit classDistribution EUR per unitPayment date
A-shares3.4357510.6.2025
B-shares3.4357510.6.2025
C-shares3.4357510.6.2025
D-shares3.4357510.6.2025
E-shares3.5550810.6.2025
Nordea shares2.8876610.6.2025

CapMan Real Estate specialises in Nordic real estate investments. We identify opportunities, create value, and deliver attractive returns through disciplined risk management. With a strong Nordic presence, we make real improvement happen by embedding sustainability across our operations.