Stathmore Holdings aims to maximise returns
whilst maintining an acceptable level of
risk by operating a portfolio accross
several property sectors including.
The company specialises in using local knowledge
to identify high yielding investment opportunities
in which ever sector presents the greatest
opportunity at that time. Traditional property
companies which specialise in one sector
(for example house builders) are highly
vulnerable to economic cycle. By diversifying
assets across several sectors, Strathmore
Holdings succeeds in reducing this volatity
by switching assets into the highest performing
sector.
Rather than following a specific formula,
Strathmore Holdings uses a highly experienced
team to research which ever opportunities
present themselves at that time. Investment
decisions are made quickly and swifly at
the highest corporate level after analysing
the potential yields and risks of an individual
project.
For the past several years the property sector
has outperformed almost all other investments
including the stock market. Whilst we do
not foresee the same level of growth, we
anticipate the property development activities
will continue to provide earnings growth
over the next few years.
We are investors in UK and European property,
with our focus being on actively managing,
financing and developing prime commercial
property to create the environment in which
modern business can thrive and develop.
We have extensive experience of complex property
issues and corporate structures which enables
us to quickly agree single or portfolio acquisitions
for both commercial and residential opportunities.
Focusing on carefully selected assets in
the commercial and residential sectors; creating
exceptional long-term investments with strong
covenants, long leases, and solid growth
potential are each primary Strathmore objectives.
In enhancing property returns through active
management and development Strathmore seek
to maximise the unlocked value of commercial
property opportunities.