The strategy of the Fund is to:
- acquire and hold the Properties to provide Investors with a quality, high yielding real estate investment.
- implement leasing and active asset management to improve the income and value of the Properties.
- acquire high investment quality Future Assets over the next 2 years in line with the Fund's investment criteria that are each accretive to the total return of the Fund and will deliver increased diversification.
- build a portfolio of approximately $200+ million.
- undertake an exit strategy to realise significant additional 'portfolio value' by way of either:
- a sale of the Portfolio, to realise a 'portfolio premium' for the aggregated assets; or
- listing the Fund on the ASX with a distribution yield that is expected to be materially higher than comparable ASX listed retail Real Estate Investment Trusts (REITs)