220 SECTION 08 AL-`AQAR HEALTHCARE REIT RISK MANAGEMENT Related Capitals: Risk Description Managing natural lease expirations and the divestment of non-core assets to ensure continuous revenue performance and effective capital recycling amidst varying market appetite and specialised asset valuation gaps B Mitigation Measures • Engagement with diverse purchaser groups and specialised agents • Refreshing valuation and pricing strategies based on market feedback • Prioritising completion of condition precedents to enable unconditional agreements • Developing alternative or phased disposal contingency strategies Risk Management Initiative > Filling vacated spaces with a wider and more varied pool of high-quality occupants > Enhance overall portfolio resilience, ensuring that the disposal of specialised assets does not compromise the fund’s competitive positioning Risk Status LOW-PRODUCTIVITY PORTFOLIO Resources: Severity: Likelihood:
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