Stockland Corp Ltd

SGP: XASX (AUS)
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Morningstar Rating for Stocks Fair Value Economic Moat Capital Allocation
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Stockland Earnings Set the Stage for a Stronger Second Half

Business Strategy and Outlook

Stockland’s investment portfolio mix is evolving. The company has been strategically trimming its retail exposure, shrinking the retail weighting to around 30% of the total portfolio, from 50% a decade ago. On the other hand, the logistics and residential sectors are gaining weight. The company is likely to continue divesting retail assets, in line with its target sector capital allocation of 20%-30%. Proceeds from asset disposals will fund acquisitions and development in those preferred sectors.

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