Profit for the period amounted to MSEK 1,215 (1,414) · Earnings per share amounted to SEK 7.22 (8.92) · EPRA NAV per share amounted to
EPRA Earnings Per Share (EPRA EPS) should be calculated on the basis of the basic number of shares (in line with IFRS earnings). The main reason for this is that EPRA Earnings and Earnings per IFRS income statement xxx EPRA Earnings per Share (EPS) Company specific adjustments: Company specific Adjusted Earnings Company specific Adjusted EPS x yyy y EPRA Net Asset Value NAV per the financial statements Adjustments to calculate EPRA Earnings, exclude: Diluted NAV, after the exercise of options, convertibles and other equity interests Net asset value per share (NAVPS) is an expression for net asset value that represents the value per share of a mutual fund, an exchange-traded fund (ETF), or a closed-end fund. * Total dividends per share of 10.1 pence up 9.8% * Fy EPRA earnings of £59.3 million up 24.1% on 2016 * Fy EPRA eps of 17.3 pence EPRA Performance measures: EPRA NNNAV. Definition: EPRA NAV adjusted to include the fair value of (i) financial instruments, (ii) debt and (iii) deferred taxes. Purpose: Makes adjustments to EPRA NAV to provide stakeholders with the most relevant information on the current fair value of all the assets and liabilities within a real estate company. EPRA Net Disposal Value (NDV): EPRA NDV aims to represent the shareholders’ value under an orderly sale of the business, where RETT, deferred taxes, financial instruments and certain other adjustments are calculated to the full extent of their liability while discarding completely any RETT or tax optimization.
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79.7. 73.4. An average annual growth in EPRA. NAV per share of not less than 10%, including distributions to shareholders, over a business cycle.
3.1 EPRA Earnings 06 3.2 EPRA NAV 09 3.3 EPRA Triple Net Asset Value (NNNAV) 11 3.4 EPRA Net Initial Yield and ‘topped-up’ NIY 12 3.5 EPRA Vacancy Rate 14 3.6 EPRA Cost Ratios 15 4. Core Recommendations: Investment Property Reporting 19 4.1 Accounting basis under IAS 40 19 4.2 Valuation information 19 4.3 Investment assets 20
Workspace NAV barely moves but interim dividend up 40%. Workspace’s EPRA net asset value per share was down 0.9% over the six months ended 30 September 2016, falling from 923p to 915p.
An average annual growth in EPRA. NAV per share of not less than 10%, including distributions to shareholders, over a business cycle.
· 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. 'NAV' means net asset value. 'LTV' means loan-to-value. Association (EPRA) has set the following benchmark indicators: • EPRA NAV, EPRA NNNAV was €2.30 per share and its replacement NAV was €2.55 per and stock volatility are positively correlated with discount to NAV. considered as a part of property valuation, EPRA NAV is widely used as a proxy to compare. EPRA NAV per share, SEK, 167.6, 175.33, 177.32, 186.97, 186.40, 184.03, 173.83, 170.52.
Current net asset value (EPRA NNNAV) per
The bid is a cash bid and amounts to SEK 100.25 per A and B share in to Stendörren's EPRA NNAV, the current net asset value at the end of
For Corem, latest reported EPRA NAV is 20.37 per share. Adjusted to market prices for shareholdings NAV would be 22.70. Additionally
14.46 (19.02) EPRA NAV rose 12 percent to SEK 152.44 (140.20) The Board of Directors proposes a dividend of SEK 5.25 (4.50) per share.
30000 times 12
EPRA NAV per share (undiluted / diluted, in EUR), 5.91 / 5.89, 6.35 / Jun 10, 2020 EPRA NAV per share of 171.7p (2019: 174.9p) after 2.5p of costs incurred from Mucklow acquisition. • IFRS net assets increased 18% to 1) Since 2020 NRV, until 2019 NAV, since 2018 fully diluted and adjusted for goodwill, 2) Incl.
magnat.ag Der nac h EPRA V orgaben berechnete Net Asset Value (NAV) beträgt zum 30. Prior-year value adjusted incl. transaction holding costs. ** Based on the shares carrying dividend rights on the reporting date: Dec. 31, 2017: 485,100,826, Dec. 31
EPRA cost ratio (incl.
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The new set of NAV metrics will also come into full effect for accounting periods starting on January 1st, 2020. Upon adoption, and to assist the users of their financial statements, companies should additionally provide a bridge between the previous EPRA NAV metrics, as calculated in line
· 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. 'NAV' means net asset value. 'LTV' means loan-to-value.
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EPRA NAV increased by 12 percent to SEK 152.44 (140.20). • The Board of Directors proposes a dividend of SEK 5.25 kr (4.50) per share
2016: 460.5 pence) and NAV per share up 2.0 pct to 439.6 pence from 431.0 pence * Total accounting return for six months of 2.6 pct EPRA Earnings per share or EPRA EPS – EPRA Earnings is a measure of the underlying operating performance of an investment property company excluding fair value gains, investment property disposals and limited other items that are not considered to be part of the core activity of an investment property company. Adjusted EPRA EPS: €0.335, growth of +3.4% • Development and land portfolio: €583.6m • Cash: €305.6m • EPRA NAV per share: € 6.43 • Gross LTV: 27.3% 16.9% Key events 2013: • April 2013 – first unsecured corporate bond placed (€350m) • August 2013 – acquisition of Galeria Dominikanska in Wroclaw, Poland (€151.7m) • EPRA Net Asset Value (NAV) of shareholders 138 985. 150 610. Adjustments: Fair value of derivative financial instruments 0 –19 672. Deferred taxes (net) –10 076 –8 766. Deviation to fair value of mortgages 295. 0.
Aug 27, 2007 Outstanding Shares, 691,608 Closing NAV 52-Week High/Low, $49.11 / $33.84 Dividend per Share Amt (as of 4/22/2021)4, $0.3210.
Limited review procedures were carried out on the consolidated financial statements by the Statutory Auditors. 1) EARNINGS Investors Befimmo is listed on Euronext Brussels. As at 31 December 2019, its market capitalisation is €1.5 billion. Befimmo intends to offer its shareholders EPRA NAV per share in EUR 11.53 10.64 10.10 EPRA NNNAV per share in EUR 9.25 8.27 9.48 EPRA Net Initial Yields in % 7.1 7.1 7.0 EPRA ‘topped up’ Net Initial Yield in % 7.1 7.1 7.0 EPRA Vacancy Rate in % 6.3 7.4 8.4 EPRA Cost Ratio (incl.
Adjusted EPRA earnings per share Dividend per share p.a. •Steadily improved occupancy rate throughout the global economic crisis, reaching a record 97.4% in FY12, and well maintained in 9M 2013 •EPRA occupancy has9 remained stable at 98% over the past two years •Strong and steadfast increase in operating margin from 71.0% in FY08 to a EPRA Eigenkapital der Aktionäre 138 985. 150 610. EPRA Eigenkapital pro Aktie (EPRA NAV per share) 41.89 .