Investor Summary

Andrew A. Davis brings 40 years of industry experience to the Davis Real Estate Fund, while co-manager E. Chandler Spears contributes 31 years of expertise. Both managers have been with Davis Funds for over two decades, demonstrating long-term commitment to the firm's investment philosophy. They represent the second generation of the Davis family investment tradition, building on the foundation established by Shelby M.C. Davis in 1969. The management team maintains an active approach to real estate investing, focusing on fundamental analysis and long-term value creation. Their experience spans multiple real estate market cycles, providing valuable perspective on sector dynamics and risk management. The managers demonstrate transparency through regular commentary and annual reviews, explaining investment decisions and market positioning to shareholders. Their approach combines rigorous research with patient capital allocation, reflecting the Davis family's long-term investment orientation. The team's extensive experience in real estate investing provides deep sector knowledge and established relationships within the industry.

Read More

Fund Strategy

The Davis Real Estate Fund uses the Davis Investment Discipline to selectively invest in durable, well-managed real estate companies. The fund seeks businesses with steadily increasing income and strong returns on capital, focusing on best-of-breed real estate businesses with first-class management. The investment approach emphasizes quality over quantity, seeking companies with sustainable competitive advantages and strong management teams. The fund maintains at least 80% of its net assets in securities issued by companies principally engaged in the real estate industry. With a concentrated portfolio approach and low turnover of around 16%, the fund reflects managers' conviction in long-term investment selections. The strategy spans multiple real estate sectors including specialized, residential, office, industrial, retail, healthcare, and hospitality REITs. Geographic diversification focuses primarily on U.S. markets with emphasis on the Pacific region. The fund prioritizes tax efficiency with distributions consisting primarily of qualified dividends and long-term capital gains.

Read More

FUND PERFORMANCE AS OF 31st December 2025

ANNUALIZED SINCE INCEPTION QUARTERLY YTD
3.61% - -10.20%
2025
-10.2%