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$0.77
$0.02
$1.30
$0.02

ELANOR PROPERTY INCOME FUND

ASSETS

4

PORTFOLIO VALUATION

$111m

TARGET MONTHLY DISTRIBUTIONS

5.5-6% p.a.

TARGET IRR

10% p.a.

Elanor Property Income Fund is an unlisted, open-ended, multi-sector property fund generating reliable and growing income from real estate assets that have strong, defensive attributes and differentiated competitive advantages.

Established in 2009, Elanor Investors Group (“Elanor” or “Group”) is an ASX listed (ASX:ENN) Australian real estate funds management business, managing over $6.4 billion of real estate investments across Australia and New Zealand.

The key strategic objective of the Group is to identify and originate high investment quality real estate assets and deliver strong investment returns for both Elanor’s funds management capital partners and Elanor securityholders. Elanor’s investment focus is on acquiring and unlocking value in real estate assets that deliver superior risk adjusted returns for Elanor’s private and institutional capital partners.

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FY 2023

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ITEM DATE

Reports & Results

Elanor Investors Group reports its full year financial results in August each year, and its half year financial results in February each year.

Distributions to Elanor Investors Group security holders are currently paid six monthly for the June and December half years.
For Australian investors, the annual Tax Statement provides information on how to complete your tax return in relation to your distribution. The annual Tax Statement is provided at the time of the June half year distribution payment in September each year.
Please note that tax components provided here are indicative only and investors should rely on their Tax Statements provided each year for the preparation of their income tax returns.

No upcoming meeting details are currently available.

No past meeting details are currently available.

Distributions to Elanor Investors Group security holders are currently paid six monthly for the June and December half years.
For Australian investors, the annual Tax Statement provides information on how to complete your tax return in relation to your distribution. The annual Tax Statement is provided at the time of the June half year distribution payment in September each year.
Please note that tax components provided here are indicative only and investors should rely on their Tax Statements provided each year for the preparation of their income tax returns.

The information regarding Net Asset Value will be updated at the end of each half year.

Elanor Commercial Property Fund (ASX:ECF) (the “Fund”) listed on the Australian Securities Exchange (ASX) in 2019 and comprises the stapled securities of the Elanor Commercial Property Fund I and the Elanor Commercial Property Fund II.
Elanor Funds Management Limited is the Responsible Entity of the Fund. The Board of the Responsible Entity and the Board of the Fund (together referred to as the “Board”) is responsible for establishing a sound framework of corporate governance and implementing the corresponding governance culture and processes for the Fund. The Board recognises that corporate governance procedures can add to the performance of the Fund, increase security holder value and engender the confidence of the investment community.
The Board is responsible for the overall corporate governance of the Fund, including approval and monitoring key strategic objectives and performance goals. The Board monitors the financial position and performance of the Fund, and oversees its business strategy, including approving the Fund’s strategic goals. Elanor’s corporate governance structure and processes are aligned with the strategic intent and operating activities of the Fund.
The Board seeks to ensure that the Fund is properly managed to protect and enhance security holder interests, and that the Fund, its Directors, officers and personnel operate in an appropriate environment of corporate governance.
Accordingly, the Board has created a governance framework for managing the Fund in line with the ASX Corporate Governance Council’s Principals of Good Corporate Governance and Best Practice Recommendations. This includes an Audit and Risk Committee with the requisite Board and Committee Charters and various corporate governance policies designed to promote the responsible management and conduct of the Fund.

Established in 2009, Elanor Investors Group (“Elanor” or “Group”) is an ASX listed (ASX:ENN) Australian real estate funds management business, managing over $6.4 billion of real estate investments across Australia and New Zealand.
The key strategic objective of the Group is to identify and originate high investment quality real estate assets and deliver strong investment returns for both Elanor’s funds management capital partners and Elanor securityholders. Elanor’s investment focus is on acquiring and unlocking value in real estate assets that deliver superior risk adjusted returns for Elanor’s private and institutional capital partners.

It is important for you to consider the Product Disclosure Statement (PDS) for the Elanor Property Income Fund (Fund) in deciding whether to invest or continue to invest in the Fund.  An investment in the Fund is not a bank deposit and is subject to investment risk, including the loss of the capital invested.  Risk factors to be considered are outlined in section 5 of the PDS.

 

By reading this page or downloading these documents, you agree that this information is of a general nature only and has not taken into account your objectives, financial situation or needs.  You should consider whether the strategies and investment are suitable for you or seek personal advice from a licenced financial adviser before making an investment decision.

 

Except as required by law, and only to the extent so required, neither Elanor Funds Management Limited, nor any other person, warrants or guarantees the future performance of the Fund or the repayment of capital or any return on any investment made pursuant to this information.

Contact Us

Elanor Property Income Fund
Level 38, 259 George St
Sydney, NSW 2000
Ph: 02 9239 8400
Fax: 02 9239 8411

Share Registry

Automic
Ph: 1300 803 870 (Australia)
+61 2 8072 1472 (International)
Postal Address

Elanor Funds Management Ltd
c/o Automic Group
Level 5, 126 Philip Street
Sydney, NSW 2000

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Elanor Property Income Fund
Level 38, 259 George St
Sydney, NSW 2000
Ph: 02 9239 8400
Fax: 02 9239 8411

Share Registry

Automic
Ph: 1300 803 870 (Australia)
+61 2 8072 1472 (International)
Postal Address

Elanor Funds Management Ltd
c/o Automic Group
Level 5, 126 Philip Street
Sydney, NSW 2000

This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.