For Shareholders

Shareholder Materials

Prospectus Download
Notice to Shareholders – August 5, 2025 Download
Annual Report – Year-End 2024 Download
Art. 22 AIFMD Report – Year-End 2024 Download
Art. 23 AIFMD Disclosures – Year-End 2024 Download
Supplementary Disclosures Download
Past Performance Information Under PRIIPs Regulation Download
Prospectus
Notice to Shareholders – August 5, 2025
Annual Report – Year-End 2024
Art. 22 AIFMD Report – Year-End 2024
Art. 23 AIFMD Disclosures – Year-End 2024
Supplementary Disclosures
Past Performance Information Under PRIIPs Regulation

Share Classes of BEPIF Feeder SICAV

The following classes of Shares (“Classes”) are open to current and prospective Shareholders and in BEPIF Feeder SICAV.
The following classes of Shares (“Classes”) are open to current and prospective Shareholders and in BEPIF Feeder SICAV.
Class Currency Availability [ 1 ] Type of Share [ 2 ] Minimum Initial Subscription [ 3 ] Subsequent Subscriptions [ 3 ] Servicing Fee (% of NAV) [ 4 ]
IA-EUR EUR Institutional Sub-Class Shares Accumulation €25,000 €1,000 0.00%
ID-EUR EUR Institutional Sub-Class Shares Distribution €25,000 €1,000 0.00%
AA-EUR EUR Advisory Sub-Class Shares Accumulation €25,000 €1,000 0.75%
AD-EUR EUR Advisory Sub-Class Shares Distribution €25,000 €1,000 0.75%
The following classes of Shares (“Classes”) are open to current and prospective Shareholders and in BEPIF Feeder SICAV.
Class
IA-EUR
ID-EUR
AA-EUR
AD-EUR

For investors based in the European Economic Area (EEA) or Switzerland, please refer to the relevant EEA KIDs. The EEA KIDs are available in multiple languages. Please select your preferred language from the dropdown menu.

For investors based in the United Kingdom (UK), please refer to the relevant UK KIDs. The UK KIDs are only available in English.

Class Currency Type of Share View EEA KID View UK KID
I-A EUR Accumulation Download Download
I-D EUR Distribution Download Download
A-A EUR Accumulation Download Download
A-D EUR Distribution Download Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D
Class Currency Type of Share View
I-A EUR Accumulation Download
I-D EUR Distribution Download
A-A EUR Accumulation Download
A-D EUR Distribution Download
Class
I-A
I-D
A-A
A-D

Please refer to the below table and dropdown menu for investor tax reporting information, where applicable.

French Property Net Wealth Tax

If you are liable to French Property Net Wealth Tax / Impôt sur la fortune immobilière, the net asset value of each of the shares you hold in BEPIF Feeder SICAV to be taken into consideration as you file your tax return is as follows:
If you are liable to French Property Net Wealth Tax / Impôt sur la fortune immobilière, the net asset value of each of the shares you hold in BEPIF Feeder SICAV to be taken into consideration as you file your tax return is as follows:
Document Name Date View
French Property Net Wealth Tax / Impôt sur la fortune immobilière January 1, 2025 English
French
If you are liable to French Property Net Wealth Tax / Impôt sur la fortune immobilière, the net asset value of each of the shares you hold in BEPIF Feeder SICAV to be taken into consideration as you file your tax return is as follows:
Document Name
French Property Net Wealth Tax / Impôt sur la fortune immobilière

Tax information is available for multiple countries. Please select your country of residence from the dropdown menu.

For countries not listed, there is no specific tax information available.

Tax information is available for multiple countries. Please select your country of residence from the dropdown menu.

The BEPIF SICAV is registered with the Oesterreichische Kontrollbank (“OeKB”) as a tax reporting fund. Austrian Deemed Distributed Income (“DDI”) can be found on the OeKb website link below.
The BEPIF SICAV is registered with the Oesterreichische Kontrollbank (“OeKB”) as a tax reporting fund. Austrian Deemed Distributed Income (“DDI”) can be found on the OeKb website link below.
Document Name Class Date View
Austrian Tax Reporting I-A 31 December 2022 Link
Austrian Tax Reporting I-D 31 December 2022 Link
Austrian Tax Reporting A-A 31 December 2022 Link
Austrian Tax Reporting A-D 31 December 2022 Link
Austrian Tax Reporting I-A 31 December 2023 Link
Austrian Tax Reporting I-D 31 December 2023 Link
Austrian Tax Reporting A-A 31 December 2023 Link
Austrian Tax Reporting A-D 31 December 2023 Link
Austrian Tax Reporting I-A 31 December 2024 Link
Austrian Tax Reporting I-D 31 December 2024 Link
Austrian Tax Reporting A-A 31 December 2024 Link
Austrian Tax Reporting A-D 31 December 2024 Link
The BEPIF SICAV is registered with the Oesterreichische Kontrollbank (“OeKB”) as a tax reporting fund. Austrian Deemed Distributed Income (“DDI”) can be found on the OeKb website link below.
Document Name
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
Austrian Tax Reporting
BEPIF SICAV is expected to invest more than 10% of its assets in debt-related assets and applies the Belgian Asset Test which can be accessed via the link below.
BEPIF SICAV is expected to invest more than 10% of its assets in debt-related assets and applies the Belgian Asset Test which can be accessed via the link below.
Document Name Date View
Belgian Asset Test Ratio 31 December 2024 Download
BEPIF SICAV is expected to invest more than 10% of its assets in debt-related assets and applies the Belgian Asset Test which can be accessed via the link below.
Document Name
Belgian Asset Test Ratio
The German Preliminary Lump Sum Taxation (“Vorabpauschale”) for the BEPIF SICAV can be found below. The BEPIF SICAV has received a status certificate (“Statusbescheinigung”).
The German Preliminary Lump Sum Taxation (“Vorabpauschale”) for the BEPIF SICAV can be found below. The BEPIF SICAV has received a status certificate (“Statusbescheinigung”).
Document Name Date View
German Preliminary Lump Sum Taxation and Accumulated Distributions 31 December 2022 Download
German Preliminary Lump Sum Taxation and Accumulated Distributions 31 December 2023 Download
German Preliminary Lump Sum Taxation and Accumulated Distributions 31 December 2024 Download
The German Preliminary Lump Sum Taxation (“Vorabpauschale”) for the BEPIF SICAV can be found below. The BEPIF SICAV has received a status certificate (“Statusbescheinigung”).
Document Name
German Preliminary Lump Sum Taxation and Accumulated Distributions
German Preliminary Lump Sum Taxation and Accumulated Distributions
German Preliminary Lump Sum Taxation and Accumulated Distributions
The Swiss tax figures for the BEPIF SICAV has been published on the Swiss Federal Tax Administration (“SFTA”) platform and can be accessed via the link below.
The Swiss tax figures for the BEPIF SICAV has been published on the Swiss Federal Tax Administration (“SFTA”) platform and can be accessed via the link below.
Document Name Class Date View
Swiss Tax Reporting I-A 31 December 2022 Link
Swiss Tax Reporting I-D 31 December 2022 Link
Swiss Tax Reporting A-A 31 December 2022 Link
Swiss Tax Reporting A-D 31 December 2022 Link
Swiss Tax Reporting I-A 31 December 2023 Link
Swiss Tax Reporting I-D 31 December 2023 Link
Swiss Tax Reporting A-A 31 December 2023 Link
Swiss Tax Reporting A-D 31 December 2023 Link
Swiss Tax Reporting A-A 31 December 2024 Link
Swiss Tax Reporting A-D 31 December 2024 Link
The Swiss tax figures for the BEPIF SICAV has been published on the Swiss Federal Tax Administration (“SFTA”) platform and can be accessed via the link below.
Document Name
Swiss Tax Reporting
Swiss Tax Reporting
Swiss Tax Reporting
Swiss Tax Reporting
Swiss Tax Reporting
Swiss Tax Reporting
Swiss Tax Reporting
Swiss Tax Reporting
Swiss Tax Reporting
Swiss Tax Reporting
The BEPIF SICAV has elected to be a “Reporting Fund” for U.K. tax purposes. Yearly information is posted here and includes the relevant details for a U.K. tax return.
The BEPIF SICAV has elected to be a “Reporting Fund” for U.K. tax purposes. Yearly information is posted here and includes the relevant details for a U.K. tax return.
Document Name Date View
U.K. Reportable Income 31 December 2022 Download
U.K. Reportable Income 31 December 2023 Download
U.K. Reportable Income 31 December 2024 Download
The BEPIF SICAV has elected to be a “Reporting Fund” for U.K. tax purposes. Yearly information is posted here and includes the relevant details for a U.K. tax return.
Document Name
U.K. Reportable Income
U.K. Reportable Income
U.K. Reportable Income

Important Disclosure Information

Blackstone proprietary data as of October 31, 2025, unless otherwise indicated. Different investor eligibility requirements and minimum subscription amounts may apply in certain jurisdictions. The figures herein include preliminary, unaudited results, which are subject to further review and adjustment. All portfolio metrics presented in this material relate to the Fund, except performance, which relates to BEPIF SICAV. When used on this website and unless otherwise specified or unless the context otherwise requires, references to the “Fund” or “BEPIF” should be read as references to Blackstone European Property Income Fund SICAV (“BEPIF SICAV”), Blackstone European Property Income Fund (Master) FCP and their Parallel Entities. Capitalized terms used but not defined will have the meanings set forth in the confidential prospectus prepared for BEPIF SICAV (the “Prospectus”). An investment in BEPIF SICAV involves subscribing to shares of a collective investment and not of a given underlying asset. The inception date for Class I-A, Class I-D, Class A-A and Class A-D shares is October 1, 2021. Please refer to the Prospectus for further information.

Each Class may be available to investors subject to the terms of the Prospectus and the relevant Minimum Subscription Amount.
Shareholders of Distribution Sub-Class Shares will receive in cash any distributions payable by the Fund in respect of such Shares; Shareholders Accumulation Sub-Class Shares will, in lieu of receiving cash distributions, have any such amounts reinvested in such Class.
Or equivalent in another currency, unless otherwise indicated.
Payable to financial intermediaries in accordance with Section VII: “Fees and Expenses of BEPIF – Servicing Fee”, within the Prospectus.