Targeting attractive risk-weighted annual returns and medium-term value growth

Orilina features a low-risk investment profile, focused on sustainable cash-flows. The REIC is seeking value resulting from a combination of rental evolution, yield compression, and asset management initiatives. Potential upside is generated from Core Plus and Value-Add strategies.

Institutional grade income-producing portfolio:

Concentrated in the main cities where the majority of the of Greece’s GDP lies

Diversified across the main commercial asset classes

Focused on prime locations

With quality tenants from a wide range of economic sectors

Emphasized on the underlying building quality, marketability, and value growth prospects

Long-term leased (index-linked), except when it is more beneficial to capture the anticipated rental growth

With no greenfield development risk; in some cases, “forward purchase agreements” can be agreed

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