The Manager
Disciplined Capital and Risk Management

The Manager endeavours to:

  • Maintain a strong balance sheet;
  • Employ an appropriate mix of debt and equity in financing acquisitions; 
  • Diversify funding sources and secure access to both financial institutions and capital markets; 
  • Optimise its cost of debt financing; and 
  • Implement appropriate interest rates management and hedging strategies to manage exposure to market volatility.
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