27,4 mdkr (17,3) omfattar 366 direktägda fastigheter (195) • Substansvärdet (EPRA NAV) uppgick till 64,39 kr per stamaktie (55,08)* • Kassafl
95.02. 90.71. EPRA NTA will now be our primary measure of net asset value, replacing our previously reported EPRA net assets and EPRA net assets per share measures. 2 hours ago Continued NAV progression and balance sheet strength. · EPRA NAV per share increased by 0.8% to 109.1 pence (31 December 2020: 108.2 EPRA means European Public Real Estate Association. 'EPS' means earnings per share.
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EPRA NAV €/share, 99,7, 105,8, 99,8. EPRA NNNAV (M€), 7 625, 8 375, 8 423. Total equity, 393,318, 403,033, 389,023. NAV per share, 270.4p, 275.3p, 268.3p. EPRA NAV per share, 343.2p, 360.3p, 331.8p. EPRA NNNAV per share, 324.3 Superior annualised EPS yield on NAV vs UK REIT average of c.4.0% Medium term growth target for underlying earnings per share (2) The EPRA cost ratio at 31 August 2020 excludes the provision against tenant lease incentives of £1.4 Discount to NAV – is it just bad luck?
Feb 7, 2020 EPRA NAV declined by 24.7% to € 32.99 per share. This is mainly the effect of negative revaluations. Our total return for 2019 was € -8.31 per.
Adjusted PBT £6.7m +20%. ( FY16: £5.6m).
=> NAV per share (EPRA NTA) at CHF 57.29 as of December 31, 2020 => Vacancy rate reduced by approx. 25 percent to 7.0 like-for-like despite COVID-19 (previous year 9.3 percent); taking into account new acquisitions, vacancy rate is 7.9 percent
EPRA NAV per share, 343.2p, 360.3p, 331.8p.
EPRA NAV increased by 1,9% during June. * H1 portfolio valuation up 1.0% 2 (developments: up 1.6% ) The company declared its second interim dividend of 1.67p per share for the year ending 30 June 2020. The dividend will be paid on 28 February 2020 to shareholders on the register as of 14 February 2020.
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An uptick in Tritax Big Box's (BBOX) portfolio valuation meant the warehouse The logistics investor reported a 2% uptick in its EPRA NAV per share, rising to
The EPRA NAV is a net asset value per share calculated in accordance with EPRA's methodology i.e. net assets on the balance sheet Halmslätten Fastighets AB (publ) noteras på Spotlight Stock Market den 17 januari 2019.
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Net asset value per share, EPRA NAV rose to SEK 178.50 (155.92). Significant events in the first quarter. Catena signed a lease with PostNord
The net asset value per share amounted to SEK 230,6 on 30 Vid beräkning av EPRA NAV utgår bolaget från det egna kapitalet för Priset i Erbjudandet har fastställts till 13,4 kronor per aktie, vilket EPRA NAV efter Erbjudandets genomförande beräknat enligt EPRA NAV EPRA NAV. The EPRA NAV is a net asset value per share calculated in accordance with EPRA’s methodology i.e. net assets on the balance sheet excluding the effects of hedges, debt adjustments associated with the hedges and deferred taxation. It also adjusts the share in issue for the potential dilution of shares issuable under employee share schemes. Click here to subscribe for free equity research on investment trusts, funds and listed companies. Following extensive consultation with industry stakeholders, EPRA has announced changes to the Net Asset Value (NAV) measurement to reflect the significant evolution of the listed real estate sector over the last 16 years, when the Best Practices Recommendations guidelines were first introduced.