Our Funds - Holdings


Aston/Fortis Real Estate Fund - I Class (AARIX)
Fund Profile Fact Sheet PDF
Overview Holdings Management Performance Fund Commentary

Display Full List of Holdings Click to view Sector Breakdown
Top Ten Holdings (as of 10/31/2008)
Company Ticker CUSIP Number of Shares Market Value % of Net Assets
Simon Property Group Inc SPG 828806109 54,000 $3,619,620 12.29%
Hcp Inc HCP 40414L109 72,200 $2,160,946 7.34%
Equity Residential EQR 29476L107 60,200 $2,102,786 7.14%
Public Storage PSA 74460D109 23,800 $1,939,700 6.58%
Boston Properties Inc BXP 101121101 26,700 $1,892,496 6.42%
Ventas Inc VTR 92276F100 49,650 $1,790,379 6.08%
Federal Realty Invs Trust FRT 313747206 23,800 $1,458,226 4.95%
Essex Property Trust Inc ESS 297178105 13,200 $1,284,360 4.36%
Taubman Centers Inc TCO 876664103 37,100 $1,232,462 4.18%
Mack-cali Realty Corp CLI 554489104 54,100 $1,229,152 4.17%
  $18,710,127 64%



As the fund is actively managed, the securities as presented do not represent the current or future composition of the portfolio.



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