바로가기 및 건너띄기 링크
본문 바로가기
주메뉴 바로가기


Strategy

LAST DEPTH

Our goal is to become the largest listed REIT in Korea

by diversifying portfolio through continuous asset acquisition

KB STAR REIT has incorporated local(Korea) assets to diversify portfolio, previously concentrated in global assets. We are committed to ongoing efforts to further diversify our portfolio through additional incorporations.
By increasing the proportion of local assets in Korea, we aim to mitigate risks associated with global assets and ensure dividend stability.
Additionally, we are implementing the ‘Total Return Strategy’ to enhance the value of KB STAR REIT.

We will employ various funding methods and maintain a stable level of debt while pursuing the incorporation of additional prime assets and expanding our portfolio.

Portfolio Diversifying Strategy

2022-2023
01
Laying the Foundation for
Sustainable Growth
Initial Growth Driven by the Acquisition of Prime
Overseas Assets
North Galaxy Towers
Samsung Europe HQ
2024-2025
02
Expansion into Domestic Assets
Portfolio Growth Through the Acquisition of
Domestic Assets
Yeouido Finance Tower
Citibank Center
Signature Tower
2026-
03
Building a Balanced Portfolio
Increasing Domestic Asset Allocation to Secure Stable
Dividend Capacity

#Office
(Asset deal)

#Preferred Equity
(Shared deal)

#KB Financial
Group

04
Stable Operations and
Maximization of Shareholder
Value
Risk Management & Investor Confidence

Operational Risk Management (Leasing, FM, etc.)

Financial Risk Management (Leverage control, Debt Maturity Diversification, etc.)

Investor Relations Activities