Through professionally managed securities portfolios, Kensington offers investors the potential for exposure to high quality real estate and infrastructure enterprises worldwide. Designed to complement a diversified portfolio, the following investment strategies are available to clients via mutual funds, separate accounts and private funds:
Core Real Estate seeks superior risk-adjusted returns by long-only investing in common shares of real estate companies with solid total return potential in our view. This strategy has a primary focus on dominant, high quality enterprises in developed economies, and is available to clients in U.S., international, and global (domestic and international combined) formats.
Core Plus Real Estate seeks superior long term returns through exposure to a broad universe of common and senior real estate securities. In addition to investing in blue chip companies, the strategy endeavors to add value through opportunistic tactics such as hedging, utilizing leverage and niche investing.
Core Infrastructure seeks superior risk-adjusted returns by investing in common shares of high quality companies in developed and emerging markets that provide essential services for the growth and development of communities. This strategy also offers participation in the growth of global infrastructure through exposure to enterprises involved in the construction, development and/or financing of infrastructure assets around the world.
Income/Senior Securities seeks a stable, secure dividend stream and the potential for modest capital appreciation achieved by investing in senior securities such as REIT preferred stocks and bonds as well as high-yielding REIT common stocks.




