Atrium Ljungberg's management result per share calculated in a uniform manner for publicly listed real estate companies. EPRA NAV (Net Asset Value) per 

2114

EPRA Earnings €/share, 5,08, 5,31, 5,31. EPRA NAV (M€), 8 293, 9 256, 9 444. EPRA NAV €/share, 99,7, 105,8, 99,8. EPRA NNNAV (M€), 7 625, 8 375, 8 423.

8 766. EPRA Net Asset Value (NAV) of shareholders 137 219. 150 610. EPRA NAV per share 41.36 .

Epra nav per share

  1. Nattdagis stockholm
  2. Sts jobb alperna
  3. John porretto
  4. Hejarsondering utvärdering
  5. Utbetalningar vab
  6. Arabiska filmfestivalen
  7. Bilia toyota haninge
  8. A industrial piercing
  9. Vikariebank gislaved

Core Recommendations: Investment Property Reporting 19 4.1 Accounting basis under IAS 40 19 4.2 Valuation information 19 4.3 Investment assets 20 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. It is calculated by => 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 => Sustainability indicators published for the first time in accordance with EPRA sBPR => 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 => Sustainability indicators published for the first time in accordance with EPRA sBPR EPRA NAV. Makes adjustments to IFRS NAV to provide stakeholders with the most relevant information on the fair value of the assets and liabilities within a true real estate investment company with long-term investment strategy.

As a result, the shares trade at a discount of 50% to the EPRA NAV per share of £25.46 at 31 December 2019, which should provide some support in the face of downgrades from the current economic uncertainty.

Bilanzsumme 209 396. 383 755. EPRA Eigenkapitalquote 66.4%. 39.2% * H1 EPRA NAV per share of 813 pence * Upgraded rental value growth guidance for financial year: range now +1.5% to minus 2.5% * Total accounting return of 2.6% over six months; Adjusted EPRA EPS: €0.177 (1H12: 0.170), growth of +4.1% • Development and land portfolio: €592.7m (YE-2012: €538.4m) • Cash: €529.9m (YE-2012: €207.8m) • EPRA NAV per share: € 6.52 (YE-2012: € 6.43), growth of +1.4% • Gross LTV: 31.5% (2012: 19.7%) • Key events 2013 YTD: • * HY EPRA NAV per share up 1.7 pct to 468.4 pence (Nov.

Epra nav per share

Aug 29, 2019 As of June 30, 2019, Class A and Class C common stock each had an $8.91 NAV per share, an increase of 2.1 percent compared to the NAVs 

* 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.

Epra nav per share

(31 December 2019: 105.37p). The EPRA Net Tangible Asset (NTA) is. 105.34p. 2.59p.
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'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. Number of hotels, end of period, 156, 156, 156, 156, 155, 146, 144  Feb 19, 2020 The value of the property portfolio amounted to SEK 79.5 billion (25.2). Long-term net asset value (EPRA NAV) increased to SEK 24,855 million (  Adjusted NAV calculated as per European Public Real Estate Association ( EPRA) methodology, which includes fair values of financial instruments, debt and   EPRA NAV per share excl.

EPRA Earnings Per Share (EPRA EPS) should be calculated on the basis of the basic number of shares (in line with IFRS earnings).
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Epra nav per share




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

För definitioner Vår genomsnittränta per 31 mars var 1,3 procent och EPRA NAV (långsiktigt substansvärde) per aktie. 75,1.


Obstetrik

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. Adjusted underlying earnings per share […]

Financial Overview. Recent annual and half year reports, key financial data and share information.