Strong Financial Foundations and Future Growth Prospects
COMPANY COMPETITIVE POSITION
Repositioned for value creation.
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ACC's strategically refined portfolio is positioned to have resilient performance over the long term.
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Closer location to campus.
Higher product quality & correspondingly lower cap-ex requirements.
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Enhanced price point and product differentiation.
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Improved sustainability of cash flows.
Portfolio of primarily core assets offers an accretive reinvestment opportunity into higher yielding
developments.
Increased focus on match-timing and sizing capital raises relative to deployment into income
producing assets, as frequently as possible.
Operational systems enhancement through Next Gen and business intelligence investment have
increased the efficiency and scalability of the company's platform.
Prior to COVID, FY 2019 FFOM per share growth of 5% reflected the beginning of a return to
improved earnings per share growth.
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