About
usUnion Homes Real Estate Investment Trust (UH REIT) now UH Real Estate Investment was listed on the Nigeria Stock Exchange (NSE) in 2008 and commenced full operations February 2009 with a net asset sum of N12.876 Billion
Our Share PRICE
₦35
Who are we
Our Vision over the years has remained the same – To be the foremost trust fund in Nigeria’s real estate investment sector, we have continuously held strategically diversified investment portfolio that delivers an above average returns to owners while maintaining a mutually beneficial long term relationship with our clients.
UH REIT has a portfolio consisting of both residential and commercial properties spread across highbrow areas of Lagos and Abuja with near future plans to explore untapped opportunities in other major cities of Nigeria.
At UH REIT, we have developed a corporate culture that promotes the potential for growth and high performance in every employee. In our daily (operations/activities), we create and manage value without jeopardizing our ethical standards staying mindful of (the society/our environment).
Our Mission
To Increase the value of the fund and its Investment portfolio by exceeding unit holders’ expectation and achieving market leadership and operating excellence in every sector of the fund.
Investment Strategy
We believe that successful real estate investment requires the implementation of strategies that permit favorable purchases, effective asset and property management and timely disposition of these assets. We have developed a disciplined investment approach that combines the experience of our team of real estate professionals with a structure that emphasizes thorough market research and an extensive downside analysis of the risks of each investment.
We invest in a diversified portfolio of suitable real estate assets/properties spanning through residential and commercial sectors that have attractive investment fundamentals in terms of prime location and meets strict criteria of delivering regular returns as well as offering the opportunity for high capital growth.
Our fund manager, SFS Capital manages the portfolio actively by establishing an investment committee who reviews the acquisition, investment and disposal of properties/assets with due diligence. Also, a proportion of the fund’s assets are held in money market instruments to provide diversification and to improve the fund’s distribution return