Cohen & Steers Real Assets Fund

Real Assets Fund

A multi-asset real assets investing approach for investors researching inflation protection, income potential and portfolio diversification.

Real assets fund for inflation and diversification

Real assets are investments connected to the physical economy, including listed real estate, listed infrastructure and natural resources. Their return drivers may include rents, regulated rates, commodity prices and long-term demand for essential assets.

The Cohen & Steers Real Assets Fund topic is designed for investors researching how real assets funds may complement traditional stock and bond allocations, especially when inflation protection, income and diversification are part of the investment objective.

Listed real estate exposure

Liquid exposure to property sectors through REITs and real estate securities.

Listed infrastructure investing

Businesses tied to power, transport, communications networks and other essential assets.

Natural resources equities

Companies linked to producing, extracting or processing scarce resources.

Real assets fund, inflation protection and diversification

A real assets fund can be evaluated by how its holdings may respond to inflation pressure, supply constraints and durable demand for essential assets. Investors often review this exposure alongside portfolio diversification goals because real estate, infrastructure and natural resource equities may behave differently from traditional stocks and bonds across market cycles.

Cohen & Steers Real Assets Fund FAQ

What does the Cohen & Steers Real Assets Fund invest in?

It may invest across listed real estate, listed infrastructure, natural resource-related securities and other real asset exposures.

Are real assets good for inflation protection?

They may respond differently to inflation through rents, regulated rates or commodity-linked revenues, but they do not guarantee inflation protection or protection from losses.

How does a real assets fund compare with stocks and bonds?

Investors can compare objectives, risks, charges, expenses, asset-class exposure and how real assets may complement traditional stock and bond allocations.

Investing involves risk, including possible loss of principal. Past performance does not guarantee future results. This page is for informational purposes only.