IOF's focus is on actively managing its portfolio to deliver attractive total returns, underpinned by strong capital and income growth, whilst maintaining a relatively low but progressive distribution policy.

The fund's strategic focus on Australia reflects the board and management’s view that a single country focus will best serve the interests of unitholders. Key portfolio management priorities include;

  • Strategically positioning IOF to have an appropriate mix of core, value-add and tactical assets that generate high risk adjusted returns for unitholders;
  • Leveraging Investa’s end to end platform which provides in-house portfolio and asset management services, deal sourcing and world leading sustainability capabilities to drive enhanced operational and financial performance and superior customer service; and
  • Actively managing the portfolio and realising value at appropriate points in the cycle
Portfolio Summary
$3.6 billion
Assets under management
22
Assets
421,895 (sqm)
Net Lettable Area
Key Operational Metrics
 

30 June 2016

Number of tenants

387

Tenant retention rate

77%

Occupancy

96%

Weighted average lease expiry (years)

4.8

Average NABERS Energy rating

4.6

Average NABERS Water rating

3.9


 

Portfolio profile
IOF Property Portfolio
IOF Property Portfolio

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IOF Portfolio By Building
IOF Portfolio By Building

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