Investment strategy

Investment strategy

Well-considered investments for long-term profits

Smart development of the asset portfolio

The main elements of CROWDREIT PLC’s investment strategy include:

Purchasing rental properties – both in Poland and in the United Kingdom, and in other countries in the future, makes it possible to diversify the portfolio and benefit from the specific nature of both markets.

Obtaining bank financing in the UK – the use of attractive loan conditions (far better than in Poland) allows for substantial expansion of operations and reduction of capital costs.

Preparing the company for stock market floatation – dual listing on AIM and New Connect increases liquidity and transparency as well as facilitating further capital acquisition.

The objectives of the actions taken are:

Building an asset portfolio – using competitive advantages of different markets, which enables stable generation of rental income.

Compliance with the UK requirements on the REIT status – which provides access to tax exemptions and makes it possible to pay out stable dividends to shareholders.

Stock exchange floatation in the UK and in Poland – dual listing allows for more effective capital acquisition and increases the transparency of the company’s operations and its market value.

Obtaining tax exemptions – arising from favourable REIT regulations in the United Kingdom, which additionally increases the attractiveness of the investment.

• Risk management strategy – a detailed plan for managing market, operational and regulatory risks, which will additionally protect investors and support the stable development of the company.

• ESG development plan – implementation of a responsible investing strategy, which may attract investors who pay attention to environmental, social and corporate governance issues.

Well-considered investments for long-term profits

Smart development of the asset portfolio

The main elements of CROWDREIT PLC’s investment strategy include:

Purchasing rental properties – both in Poland and in the United Kingdom, and in other countries in the future, makes it possible to diversify the portfolio and benefit from the specific nature of both markets.

Obtaining bank financing in the UK – the use of attractive loan conditions (far better than in Poland) allows for substantial expansion of operations and reduction of capital costs.

Preparing the company for stock market floatation – dual listing on AIM and New Connect increases liquidity and transparency as well as facilitating further capital acquisition.

The objectives of the actions taken are:

Building an asset portfolio – using competitive advantages of different markets, which enables stable generation of rental income.

Compliance with the UK requirements on the REIT status – which provides access to tax exemptions and makes it possible to pay out stable dividends to shareholders.

Stock exchange floatation in the UK and in Poland – dual listing allows for more effective capital acquisition and increases the transparency of the company’s operations and its market value.

Obtaining tax exemptions – arising from favourable REIT regulations in the United Kingdom, which additionally increases the attractiveness of the investment.

• Risk management strategy – a detailed plan for managing market, operational and regulatory risks, which will additionally protect investors and support the stable development of the company.

• ESG development plan – implementation of a responsible investing strategy, which may attract investors who pay attention to environmental, social and corporate governance issues.