One of the key pillars of the Aqualand investment strategy is the acquisition of investment assets to optimise our portfolio performance.
This optimisation is achieved through the execution of individual asset strategies, including repositioning and leasing, alternative highest and best uses, holding for future site consolidation, or maximising redevelopment potential.
We invest time into our tenant relationships to understand their respective industry markets and anticipate their accommodation drivers.
We believe this tenant experience is crucial to retention and mitigation of future vacancies within the portfolio. Our asset management team has the benefit and support of working across the Aqualand group, utilising our development, project management, planning, construction and finance capabilities so that every decision is well researched and executed.