Pat McGinley
Head of Finance
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Growth in net rental income to over €107m
Strategic acquisitions
Capital recycled through disposals
Revised and up-sized revolving credit facility
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General table detailing the different committees that the board sits on.
H5 Investment |
Remuneration |
Audit & Risk |
|
---|---|---|---|
Frank Close | |||
Paul Armstrong | |||
Simon Radford | |||
Donal Courtney | |||
Jim Foley | |||
Marie Collins | |||
Eithne Fitzgerald |
Denotes the chairperson of each committee.
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47-49 St. Stephen’s Green Dublin 2, D02 W634, Ireland
Tel +353 (0) 1 661 3499
Fax +353 (0) 1 661 3336
Email info@iput.com
Pat McGinley Head of Finance
pmcginley@iput.com
+353 (0) 1 661 3499
FTI Consulting Ireland Jonathan Neilan
iput@fticonsulting.com
+353 1 765 0886
FTI Consulting UK
Claire Turvey
iput@fticonsulting.com
+44 20 3727 1241
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Dublin, Ireland
10,680 sq m
2017
AIB plc
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IPUT plc is a successor to the Irish Property Unit Trust. It is an unlisted limited liability umbrella investment company with variable capital and segregated liability between its sub-funds.
IPUT plc is authorised and regulated by the Central Bank of Ireland as a qualifying investor alternative investment fund (QIAIF) and as an internally managed alternative investment fund under the European Union (Alternative Investment Fund Managers) Regulations 2013.
The IPUT Property Fund is the only sub-fund of IPUT plc and consists of over 94 commercial properties primarily located in Dublin.
The Fund is open to both domestic and international “Qualifying Investors”. A Qualifying Investor is (i) an investor who is a professional client within the meaning of Annex II of Directive 2004/39 EC; or (ii) an investor who receives an appraisal from an EU credit institution, a MiFID firm or a UCITS management company that the investor has appropriate expertise and knowledge to adequately understand the investment in the Fund; or (iii) an investor who certifies that they are an informed investor by providing sufficient written confirmation.
The minimum investment is €100,000 with a minimum shareholding of €1,000,000.
An Application Form must be completed and sent to the Fund’s Administrator. Copies of the Application Form, Prospectus and Supplement are available from IPUT plc. To retain copies of these documents please send an email to iput@iput.com
The dealing days are the first business days of January, April, July and October.
The dealing deadline for acquiring shares in IPUT plc is the business day which is at least three months prior to the relevant dealing day. The dealing deadline for the redeeming of shares is on the business day which is at least six months prior to the relevant dealing day.
The Fund is valued on a quarterly basis.
Dividends are paid on a quarterly basis.
IPUT’s Depository is Northern Trust Fiduciary Services (Ireland) Limited. IPUT’s Administrator is Northern Trust International Fund Administration Services (Ireland) Limited.
Yes – Please see document here