Open House: December 2017
Welcome to our Open House series. Every month we open the doors on our data to share information about our community, investment performance and measures of liquidity in the Resale Market. The series is born of our commitment to data transparency, and we hope you find it useful.
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Capital at risk: before investing please read Key Risks. Past performance is not a reliable indicator of future performance.
|New Listing Investment
|Capital returned to investors 1
|Rental income returned to investors
The figures above are correct as of December 31st, 2017. Figures in green represent a net change in the displayed figures from the previous month.
The chart above highlights how investment through the platform has grown since its inception in January 2015. Hover over the chart to see how much has been cumulatively invested in each month, and adjust the drop-down menu to see growth over a given time-period.
|Assets Under Management
|Units Funded 2
|Investments Funded 3
|Avg Dividend Yield
|Avg Capital Growth
The figures above are correct as of December 31st, 2017.
The chart above highlights the sum of property values on our platform by region. Hover over the chart to see the average dividend yield, number of properties, and sum of property values in a specific region.
Rental Income and Property Valuations
We have met – or exceeded – forecast dividend payments on all properties to date. In some cases, we have managed to secure higher rent than originally forecast when the properties were listed on the platform. New residential properties earn 5% enhanced rental income for the first two years.
All our properties are independently valued by a RICS qualified Chartered Surveyor at purchase, and at the end of each quarter thereafter (March, June, September & December). All revaluations go live on the platform on the 5th of the month following the quarter end. To learn more about the latest quarterly valuation and performance on platform, click here.
The surveyor’s valuation feeds into the Latest Share Valuation for each property, along with mortgage debt, amortised purchase costs and any deferred tax applicable to capital gains. You can download an Excel tracker of the historic share price movements below. The Excel tracker is updated monthly and will allow you to track the performance of each individual property.
The Resale Market
Investors can realise a capital return by selling shares on the Resale Market at any time, by placing an offer to sell at their chosen price or matching an existing bid order. Alternatively, investors can exit at market value five years after a property’s launch on platform. (Read more about 5-yearly mechanics here). Investors looking to purchase shares on the Resale Market can match a sell offer or place bids at their chosen price. Learn more about how the Resale Market works, here.
|Capital returned to investors 1
|Matched by bids 4
|of portfolio traded on Resale Market 5
|Average time to sell 6
The figures above are correct as of December 31st, 2017. Past performance is not a reliable indicator of future performance.
We have also prepared a full download of Resale trading activity, including all transactions matched through bids. This spreadsheet allows you to review trading by property, including the trade date, trade price, premium to Initial Valuation, and premium to Latest Share Valuation.
We will continue to share information and data, to give investors a clear view on our performance. For those of you who are not yet investors, we hope that this data will help you make an informed decision as to whether to invest in properties through our platform.
And as always, you can view our latest investment opportunities by clicking below:
If you would like to provide any comments on this article, or offer your time for a call to provide general feedback, please call us on +44 (0)20 3696 5600 or drop us an email on firstname.lastname@example.org
We’d love to speak with you.
1. ‘Capital returned to investors’ denotes the total value of shares sold on the Resale Market.
2. ‘Units Funded’ refers to the number of individual flats or houses that have been funded to date.
3. ‘Investments Funded’ refers to the total number of properties that have fully funded on the platform.
4. ‘Matched by bids’ refers to the total value of shares sold, resulting from bid orders being matched.
5. ‘Portfolio traded on Resale Market’ is the total value of shares sold on the Resale Market as a percentage of the total value of New Listing investment.
6. ‘Time to sell’ denotes the weighted average time it has taken to sell shares at or below the 30-day weighted average share price.
Important notice: Capital at risk. The value of your investment can go down as well as up. The Financial Services Compensation Scheme (FSCS) protects the cash held in your Property Partner account, however the investments that you make through Property Partner are not protected by the FSCS in the event that you do not receive back the amount that you have invested. Forecasts are not a reliable indicator of future performance. Gross rent, dividends and capital growth may be lower than estimated. 5 yearly exit protection or exit on platform subject to price & demand. Property Partner does not provide tax or investment advice and any general information is provided to help you make your own informed decisions. Customers are advised to obtain appropriate tax or investment advice where necessary. Before investing please read Key Risks. Past performance is not a reliable indicator of future performance.
Financial promotion by London House Exchange Limited (8820870); authorised and regulated by the Financial Conduct Authority (No. 613499).