EPRA NAVPS is sharply up at EUR when compared to the 'historic' EPRA NAVPS value for. (EUR ) but EPRA NAV movement (pence per share). 1. Includes 

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Halmslätten Fastighets AB (publ) noteras på Spotlight Stock Market den 17 januari 2019. Halmslätten EPRA NAV uppgick till 109,7 kr per aktie. 2019-08-28.

(15.9). Sep 12, 2019 As DIGS had previously reported, EPRA NAV per share increased by 11% to. 165.5p in FY19 and, including reinvestment of dividends paid, the  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  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  Our valuation methodology is based on a relative model and is designed to identify the REITs that are most- and least-attractively valued. Assess Property Portfolio  Jul 29, 2020 EPRA NAV per share reduced by 2% to 833 pence (31 December 2019: 853 pence) which, given no dividends were paid in the period,  discount to the last reported EPRA NNNAV of 145.9 pence per RDI REIT Share at 31 August 2020. RDI REIT P.L.C.

Epra nav per share

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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. direct vacancy costs).

2.64.

Priset i Erbjudandet har fastställts till 13,4 kronor per aktie, vilket om 1,0 gånger gentemot Bolagets långsiktiga substansvärde (EPRA NAV)*.

to 38.8% • Proposed dividend of Euro 0.30 per share for 2019, in line with 2018 Solid performance of the real estate portfolio in 2019 The dividend will consist of 1.11p per share as a REIT property income distribution and 0.42p per share as an ordinary UK dividend. At 31 March 2019, the EPRA net asset value, excluding income, was 160.03p per share, a 2.3% quarterly increase. The portfolio was valued at £862m, representing a 1.8% LFL increase, and the net initial yield was 4.62%.

Our valuation methodology is based on a relative model and is designed to identify the REITs that are most- and least-attractively valued. Assess Property Portfolio 

· 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.

Epra nav per share

Per cent Premium or discount - market capitalisation as share of EPRA NAV, SEK. Banks. 30.4. 31.3. Swedish key interest rates,. 2017–2020. Per cent Premium or discount - market capitalisation as share of EPRA NAV, SEK. Net asset value per share, EPRA NAV rose to SEK 178.50 (155.92).
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Epra nav per share

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. Define EPRA NAV Per Share.

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Share info. Subscribe to. keep up to date. Submit. Financial Overview. Recent annual and half year reports, key financial data and share information. Portfolio.

RDI REIT P.L.C. ISIN: IM00BH3JLY32. JSE share code: RPL. Feb 17, 2020 A dividend of €4.81 per share will be submitted to the General Meeting EPRA NAV per share up 5.7% year-on-year; EPRA NAV TSR: 10.8%.

2019-07-08 · The EPRA NAV per share (net book value excluding deferred income tax liability and fair value of interest derivatives) as of 30.06.2019 was 16.92 euros. EPRA NAV increased by 1,9% during June.

2.96 EPRA-NAV uppgick till 26,3 kr per aktie vilket var höjer vi våra NAV-estimat till 29,7 kr 2021 och 32,7 kr 2022.

The main reason for this is that EPRA Earnings and the dividends to which they give rise, accrue to current shareholders and therefore it is more appropriate to use the basic number of shares. Adjusted EPRA EPS: €0.094, growth of +4.4% • Development and land portfolio: €432.3m • Cash: €294.4m EPRA NAV per share: €6.43 • Gross LTV: 27.2% • Net LTV: 17.2% Key events 2014 – YTD: • Completion and opening of Atrium Felicity in Lublin (March) • Sale of Turkish land plot in Istanbul (April) • Bond buyback of €37m (April/ May) => NAV per share (EPRA NTA) at CHF 57.29 as of December 31, 2020 => Vacancy rate reduced by approx.