The fund actively provides global exposure to tech-focused real estate companies, including data centers, communications infrastructure, and industrials. The fund selects securities using a fundamental, bottom-up, value-based methodology, which considers market conditions, asset values, cash-flow projections, and capital structure. Position sizes are evaluated based on conviction, relative value, company size, and liquidity. Up to 100% of the funds assets may be allocated to foreign securities. The fund may engage in lending to earn additional income. It may also use derivatives such as options, futures, and swaps for hedging and non-hedging purposes.