Skip to content

Mini Mall Storage Properties Trust

CREATING SPACE FOR GROWTH

Mini Mall Storage has a highly experienced team of self-storage experts executing on a strategy to consolidate a fragmented industry.

Mini Mall Storage Properties Trust

CREATING SPACE FOR GROWTH

Mini Mall Storage has a highly experienced team of self-storage experts executing on a strategy to consolidate a fragmented industry.

Mini Mall Storage Properties Trust

CREATING SPACE FOR GROWTH

Mini Mall Storage has a highly experienced team of self-storage experts executing on a strategy to consolidate a fragmented industry.

$ 0  Billion+

ASSETS UNDER MANAGEMENT

0  Million+

Square Feet

0 +

SELF-STORAGE FACILITIES

Fund Returns

C$160,000

C$150,000

C$140,000

C$130,000

C$120,000

C$110,000

C$100,000

2020

2021

2022

2023

2024

Annualized Returns

1 Year

9.32%

3 year

11.41%

Inception

11.10%

Note: Fund returns are based on Class F Trust Units.  Figures presented as at November 30, 2024

$1.5 Billion+

ASSETS UNDER MANAGEMENT

8.5 Million+

Square Feet

220+

SELF-STORAGE FACILITIES

Fund Returns

C$160,000

C$150,000

C$140,000

C$130,000

C$120,000

C$110,000

C$100,000

2020

2021

2022

2023

2024

Annualized Returns

Class F

1 Year

9.32%

3 year

11.41%

Inception

11.10%

Note: Fund returns are based on Class F Trust Units.  Figures presented as at  November 30, 2024

$1.5 Billion+

ASSETS UNDER MANAGEMENT

8.5 Million+

Square Feet

220+

SELF-STORAGE FACILITIES

Fund Returns

C$160,000

C$150,000

C$140,000

C$130,000

C$120,000

C$110,000

C$100,000

2020

2021

2022

2023

2024

Annualized Returns

1 Year

9.32%

3 year

11.41%

Inception

11.10%

Note: Fund returns are based on Class F Trust Units.  Figures presented as at November 30, 2024

Legacy Assets Meet Institutional Quality

The Mini Mall Storage Properties (MMSP) Trust focuses on acquiring legacy-run assets and applies institutional-grade operational strategies and technologies to enhance profitability. These technological improvements include: 24/7 access, SEO-enabled websites, seamless mobile rentals, state-of-the-art security and dynamic pricing models. All these enhancements elevate the service standard in a traditional “cash and paper” industry.  

Spanning across North America, MMSP utilizes a hub-and-spoke operating model that enables efficient expansion in new regions. MMSP consistently identifies opportunities for growth, thanks to a combination of favorable market conditions. These conditions include the demographic shift towards an aging population, a decrease in square footage for new office and housing construction and a limited supply of self-storage per capita relative to consumer demand. 

Key Facts

Fund TypeMutual Fund Trust
Fund CodesClass D – AVE0600D
Class D-U – AVE0601D
Class A – AVE0600A
Class A-U – AVE0601A
Class F – AVE0600F
Class F-U – AVE0601F
Institutional Classes Available
Currency CAD & USD
Fund InceptionFebruary 2020
AUM (as at Oct 31, 2024)$1.76 Billion
Asset ManagerAvenue Living Asset Management Ltd.
Fund ManagerInvico Capital Corporation
DistributionsMonthly
Minimum Investment$5,000
Registered EligibleYes
Fund TypeMutual Fund Trust
Fund CodesClass D – AVE0600D
Class D-U – AVE0601D
Class A – AVE0600A
Class A-U – AVE0601A
Class F – AVE0600F
Class F-U – AVE0601F
Institutional Classes AvailableInstitutional Classes Available
Fund InceptionFebruary 2020
AUM (as at October 31, 2024)$1.76 Billion
Asset ManagerAvenue Living Asset Management Ltd.
Fund ManagerInvico Capital Corporation
DistributionsMonthly
Minimum Investment$5,000
Registered EligibleYes

Key Facts

Fund TypeMutual Fund Trust
Fund CodesClass D – AVE0600D
Class D-U – AVE0601D
Class A – AVE0600A
Class A-U – AVE0601A
Class F – AVE0600F
Class F-U – AVE0601F
Institutional Classes Available
Currency CAD & USD
Fund InceptionFebruary 2020
AUM (as at February 28, 2023)$1.14 Billion
Asset ManagerAvenue Living Asset Management Ltd.
Fund ManagerInvico Capital Corporation
DistributionsMonthly
Minimum Investment$5,000
Registered EligibleYes
Fund TypeMutual Fund Trust
Fund Codes

Class D
AVE0600D
Class D-U
AVE0601D
Class A
AVE0600A
Class A-U
AVE0601A
Class F
AVE0600F
Class F-U
AVE0601F

Institutional Classes Available

Currency CAD & USD
Fund InceptionFebruary 2020
AUM (as at Oct 31, 2024)$1.76 Billion
Asset ManagerAvenue Living Asset Management Ltd.
Fund ManagerInvico Capital Corporation
DistributionsMonthly
Minimum Investment$5,000
Registered EligibleYes

Contact Our Investor Relations Team

If you are a financial advisor or institutional investor looking for information about how to invest with us, get in touch with our Investor Relations team. We are here to help.