Managing a property portfolio effectively is an important aspect of financial management. In this context, decisions need to be made to identify the right decisions that need to be made to achieve the appropriate balance between capital growth and return on the investment.
The aim of the report is to propose a five-year investment
strategy for the corporation based on a mixed commercial
property portfolio, with this predominantly comprising of
retail and office premises. It reviews the recent
performance of this portfolio to form the foundation for the
decisions that will ultimately made by the management.