Dexus is one of Australia’s leading fully integrated real asset groups, managing a high-quality Australasian real estate and infrastructure portfolio valued at $62.3 billion (pro forma post completion of the Collimate Capital acquisition).
We directly own $17.8 billion of office and industrial assets and investments. We manage a further $44.5 billion of investments in our funds management business (pro forma post completion of the Collimate Capital acquisition) which provides third party capital with exposure to quality sector specific and diversified real asset products. The funds within this business have a strong track record of delivering outperformance and benefit from Dexus’s capabilities. The group’s $15.8 billion development pipeline provides the opportunity to grow both portfolios and enhance future returns.
We consider sustainability (ESG) to be an integral part of our business with the objectives of Leading Cities, Future Enabled Customers, Strong Communities, Thriving People and an Enriched Environment supporting our overarching goal of Sustained Value. Dexus is listed on the Australian Securities Exchange and is supported by more than 31,000 investors from 23 countries. With over 35 years of expertise in property investment, funds management, asset management and development, we have a proven track record in capital and risk management and delivering superior risk-adjusted returns for investors.
Total funds under
Group development pipeline
As at 31 December 2022
*Pro forma post completion of the Collimate Capital acquisition
Our Vision and Strategy
Dexus’s vision is to be globally recognised as Australia's leading real asset investment manager. We are a passionate and agile team who want to make a difference and our purpose is to create spaces where people thrive. We value openness and trust, empowerment and integrity and these values and our purpose are the driving force behind how we work and our culture. We believe in creating value for our customers, our investors, our communities and our people.
Dexus's strategy is to deliver superior risk adjusted returns for investors from high-quality real assets. Delivering superior risk-adjusted returns means outperforming the relevant three and five-year benchmarks in each market in which Dexus owns or manages properties while providing Dexus Security holders with sustainable and growing distributions.
We have two strategic objectives that underpin this strategy:
- Being identified as the real estate investment manager of choice: Expanding and diversifying the funds management business