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 As At 31 Dec 2017
$4.0 billion
Assets under management
Key Operational Metrics

31 - Dec - 17

Number of tenants


Tenant retention rate (1H18)




Weighted average lease expiry (years)


Average NABERS Energy rating (As at 31 Dec 2017)


Average NABERS Water rating (As at 31 Dec 2017)



Portfolio profile as at 31 December 2017

IOF Property Portfolio
IOF Property Portfolio

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IOF Portfolio By Building
IOF Portfolio By Building

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