Salient Features STRATEGIES FUND INFORMATION STOCK MARKET INFORMATION Active Asset Management The Manager will seek to optimise the rental rates, occupancy rates and net lettable area of the subject properties in order to improve the returns from Al-Salām REIT’s property portfolio. Acquisition Growth Strategy The Manager will source for and acquire properties that fit within Al-Salām REIT’s investment strategy to enhance returns to Unitholders and capitalise on opportunities for future income and NAV growth. Capital and Risk Management The Manager will endeavour to employ an appropriate mix of debt and equity in financing acquisitions, seek to manage financing and refinancing risk and to adopt an active financing rate management strategy to manage the risks associated with changes in financing rates. Fund Name Al-Salām Real Estate Investment Trust Distribution Policy At least 90% of distributable income Type of Fund Income and Growth Financial Year End 31 December Category of Fund Diversified Real Estate Investment Trust Fund Size 580,000,000 Units OTHER INFORMATION Listing Main Market of Bursa Malaysia Securities Berhad Listing Date 29 September 2015 Stock Name and Code ALSREIT (5269) 1 ABOUT US 5 2 BUSINESS OVERVIEW 3 SUSTAINABILITY STATEMENT 4 CORPORATE GOVERNANCE 5 OTHER INFORMATION 6 FINANCIAL STATEMENTS
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