You can find tools and information to understand Land Securities' performance and make a more informed decision.
We manage our Retail Portfolio and London Portfolio businesses through the property market’s cycles, adjusting key investment and development activities ahead of changing conditions to maximise return and minimise risk.
This section describes some of the market data which is important in determining property investment decisions.
A description of the Group’s key performance indicators, and progress against them, can be found here.
The Group assesses all the risks facing the business and puts risk management at the centre of its decision-making. Here we describe the risks and the actions we have taken to mitigate them.