
We want to be the leading investor in regional commercial property, generating attractive total returns while growing a sustainable portfolio of assets that adapts to changing occupier demands.
We are ACTIVE asset managers, focused on unlocking value and
applying the highest standards in everything we do.
We are ASTUTE in our approach to business, identifying opportunities and applying our expertise to outperform the market.
We set AMBITIOUS goals in order to deliver our total return strategy.
Within Palace Capital we promote a culture of inclusivity whereby all our people contribute to the achievement of our strategic priorities. We are a highly professional and skilled team, with a profound family ethos ensuring employees feel valued and supported in both their working and personal lives.
Our focus is on value creation through our targeted acquisition of regional commercial property.
We invest across sectors outside London, based on fundamental demand/supply macro-economics supported by structural trends. We focus on properties where we can enhance the long-term income and capital value through pro active management and strategic capital developments to create desirable real estate that meets demand. We employ a conservative financing strategy with debt aligned to our property strategy.
01
Grow Our Regional Portfolio
We are continuously reviewing opportunities to grow the business and extend our income through both direct property and corporate acquisitions.
Through our conservative capital structure we are able to access capital and debt on attractive terms in order to support acquisitions. We have a robust programme of investor relations practices and through our careful approach to capital allocation we ensure every opportunity supports our total return model.
02
Generate ATTRACTIVE TOTAL RETURNS
Our long term strategic objective is to outperform our peer group on a total return basis.
We measure ourselves against the MSCI industry benchmark.
To ensure we deliver on this strategy we acquire assets across a range of risk/return strategies from core-plus to value-add, through to opportunistic developments.
03
MANAGE OUR ASSETS EFFECTIVELY
We apply pro active asset management strategies balancing income generation and development activity.
By recycling equity out of underperforming assets, we can deploy this into refurbishment and other value-add opportunities in order to reposition assets and meet occupational demand. We have an opportunistic pipeline of assets which are well positioned for medium-term development.
04
BE A RESPONSIBLE COMPANY
We are committed to conducting our business responsibly and focusing on the issues that matter most to each of our stakeholder groups.
We continue to embed corporate responsibility initiatives into our daily business practices and seek to operate in a way that provides a positive contribution to society and creates sustainable value for our shareholders.