This strategy seeks to deliver value-added returns across a diversified, income-producing portfolio of well-located UK real estate.
By targeting fundamentally well-located non-core assets, the team seeks to actively manage to add income, extend lease term and enhance capital value, as well as dispose of an enhanced asset into an improved economic and market condition.
We believe there is an opportunity to take advantage of heightened levels of risk aversion in the UK and the relatively favourable pricing between core, quality investment grade product and secondary assets in severely restricted submarkets, such as London and South East offices as well as selective logistics assets. The dislocation in pricing between core and non-core assets creates an opportunity for experienced investors.
This multi-let office is located close to London’s Square Mile and key rail stations for excellent transport links. We plan to upgrade its external appearance, refurbish common areas and implement enhanced ESG measures. Our team is also working with the tenants for a potential expansion of floor area to start in early 2021.