For accredited investors only
This website is intended for use by Accredited investors (as such term is defined in the Securities Act (Ontario) or National Instrument 45-106 - Prospectus Exemptions, as applicable) resident in, or otherwise subject to the securities laws of, any province or territory of Canada, or pursuant to such other exemptions from the prospectus requirements under applicable securities legislation.
Examples of who qualifies as an accredited investor:
- an individual who, either alone or with a spouse, beneficially owns financial assets having an aggregate realizable value that, before taxes but net of any related liabilities, exceeds $1,000,000;
- an individual who beneficially owns financial assets having an aggregate realizable value that, before taxes but net of any related liabilities, exceeds $5,000,000;
- an individual whose net income before taxes exceeded $200,000 in each of the two most recent calendar years or whose net income before taxes combined with that of a spouse exceeded $300,000 in each of the two most recent calendar years and who, in either case, reasonably expects to exceed that net income level in the current calendar year;
- an individual who, either alone or with a spouse, has net assets of at least $5,000,000;
- a person (other than an individual or investment fund) that has net assets of at least $5,000,000 as shown on its most recently prepared financial statements provided that such person has not been created solely to purchase or hold the Units being purchased; and
- a person acting on behalf of a full managed account managed by that person, if that person is registered or authorized to carry on business as an adviser or the equivalent under the securities legislation of a province or territory of Canada or a foreign jurisdiction.
"Financial assets" generally means cash and securities and "related liabilities" means liabilities incurred or assumed for the purpose of financing the acquisition or ownership of financial assets, or liabilities that are secured by financial assets.
This website is not intended to constitute an offer of units of Fidelity Alternative Real Estate Trust (the "Fund"). The information contained herein is qualified in its entirety by reference to the Offering Memorandum ("OM") of the Fund. The material available on this website is published for informational purposes only. It does not constitute a solicitation of an offer to buy or an offer to sell securities, nor should the information be relied upon as investment advice. Units of the Fund are generally only available to Accredited Investors (as described above). The OM contains information about the investment objectives and terms and conditions of an investment in the Fund (including fees) and also contains tax information and risk disclosures that are important to any investment decision regarding the Fund.
Fidelity Alternative Real Estate Trust
Net asset value As at March 17, 2025

Why invest in this Fund?
- Offers exposure to private and public real estate investments in a single vehicle
- Real assets may serve as an inflationary hedge
- The potential of diversification benefits that come from a combination of illiquid and liquid real estate assets
Fund Codes
Subscription (Purchase) series
Series FH FID7714
Series BH FID7713
Fund details
-
Inception
17-Mar-2025
-
Legal document
Offering memorandum
-
Structure
Open ended
-
Target asset mix
70% private
30% public -
Investor profile
Accredited Investors
-
Minimum investment (Accredited investor)
$25,000 initial
$10,000 subsequent -
Minimum investment (Discretionary advisor)
$100,000 initial
No subsequent minimum -
Subscriptions*
Monthly
-
Redemptions*
Quarterly
-
Registered account
eligibilityYes
-
Management fee
Series F
Series B
0.75%
1.75% -
Early redemption
fee scheduleYear 1 - 3%
Year 2 - 2%
Year 3 - 1%
* Please see the offering memorandum for more information around the subscription and redemption process
Portfolio managers



Fidelity Alternative Real Estate Trust
Net asset value As at March 17, 2025
Fund Codes
Subscription (Purchase) series
Series FH FID7714
Series BH FID7713
Fund details
-
Inception
17-Mar-2025
-
Legal document
Offering memorandum
-
Structure
Open ended
-
Target asset mix
70% private
30% public -
Investor profile
Accredited Investors
-
Minimum investment (Accredited investor)
$25,000 initial
$10,000 subsequent -
Minimum investment (Discretionary advisor)
$100,000 initial
No subsequent minimum -
Subscriptions*
Monthly
-
Redemptions*
Quarterly
-
Registered account
eligibilityYes
-
Management fee
Series F
Series B
0.75%
1.75% -
Early redemption
fee scheduleYear 1 - 3%
Year 2 - 2%
Year 3 - 1%
* Please see the offering memorandum for more information around the subscription and redemption process
Why invest in this Fund?
- Offers exposure to private and public real estate investments in a single vehicle
- Real assets may serve as an inflationary hedge
- The potential of diversification benefits that come from a combination of illiquid and liquid real estate assets
Portfolio managers


Stay informed with the latest updates for Fidelity Alternative Real Estate Trust.
For accredited investors only.