Strength of NOF

Portfolio of Prime Office Buildings

  • Investment in carefully selected competitive office buildings located in the three major metropolitan areas and government-designated cities
  • Investment strategy focusing on tenancy demands, location and building functionality
  • Utilization of property acquisition pipeline of the Nomura Real Estate Group

Strategic Property Management based on Ample Experience (Asset Management)

  • Utilization of office building management expertise cultivated over the years as an asset management company supported by the Nomura Real Estate Group
  • Determination and execution of management strategies based on accurate market analysis
  • Implementation of strategic building renewals

Stable and Flexible Financial Policies

  • Financial basis focusing on stability by reducing interest volatility risks and funding risks
    Maintenance of conservative loan-to-value ratio
    Longer maturity of interest-bearing-debts and fixed interest rates
  • Superb credit ratings
  • S&P : A (long-term corporate rating)
    Moody's : A2 (issuer rating)
    R&I : AA- (issuer rating)

Properly-organized Internal Governance System and Compliance System

  • Establishment of properly-organized management system and effectively-functioning internal governance system in the asset management company
  • Design and implement a decision making system with emphasis on compliance, including securing fairness and transparency

Use of the Comprehensive Strength of Nomura Real Estate Group

Fund Management with Emphasis on Stability and Growth

  • Steady growth of asset size
  • Stable occupancy rate
  • Secure fund-raising capacities
  • Stable cash distribution per unit
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