Our team has a proven track record in fund management and an astute ability to deploy capital selectively to enhance returns. We continue to focus on growing and managing a strategic long-income portfolio and we approach asset management proactively to realise value.
Our portfolio is focused on the logistics sector and targets leases with longer tenures and established tenants.
We use effective, consistent asset management activities to protect long-term value. We balance sectoral focus with geographical diversification and have a comprehensive approach to risk monitoring.
We maintain close relationships with shareholders and investors to facilitate growth in the long-term. Being a more widely held company would increase the liquidity of our shares and attract more institutional investors.
We consistently identify opportunities to reduce tenant or regional concentration risks.