Investment strategy
Orchard Diversified Property Fund - investment strategy
Asset and sector diversification:
The Fund holds a diverse spread of traditional and non-traditional property assets across sectors in order to produce the best risk-adjusted return.
Geographic diversification:
We target a broad geographic spread of assets in the Fund, with exposure across Australia, New Zealand, Europe and the United States offering additional diversification benefits.
Tenant diversification:
We actively seek high quality, reputable tenants from a variety of industries to occupy properties within the Fund to aid stability and reliability of income.
Lease structuring:
We seek to negotiate long leases to help provide consistency of income over time, with annual rental increases generally built in to protect against inflation.
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Orchard Securities Pty Limited ABN 16 091 909 376 AFSL No. 241053 has prepared this for general information only. It does not take into account your current or future financial circumstances. It is important for you to consider these matters and read the relevant product disclosure statement (PDS) before you make an investment decision on holding or acquiring these products. To obtain a current PDS, please ask your financial adviser, call 1800 008 494, or download from our website.