Långsiktigt substansvärde (EPRA NAV), kr. Hänförligt till moderföretagets aktieägare: Eget kapital, 9 612, 8 487. Återläggning av uppskjuten skatt, 1 692, 1 426.
Share Information, Net Asset Value, Financial Reports, News Releases, Vid beräkning av EPRA NAV utgår bolaget från det egna kapitalet för
EPRA NAV per A-aktie har fastställts av bolagets värderingsfunktion den 27 januari 2020. Extern fastighetsvärdering har genomförts av JLL. EPRA is listed in the World's largest and most authoritative dictionary database of abbreviations and acronyms. the group had EPRA NAV per share of 325.3p, EPRA nyckeltal EPRA NAV (Långsiktigt substansvärde), Mkr 41 265 35 728 27 436 14 019 EPRA NAV, kr per aktie 229,25 198,49 159,14 86,33 EPRA Vacancy rate (Vakansgrad) 4 5 4 5 1) Hänförligt till moderbolagets aktieägare. 2) Noterade intressebolag till marknadsvärde avser Collector AB (publ) och Brinova Fastigheter AB (publ). EPRA NAV per A-aktie har fastställts av bolagets värderingsfunktion den 12 juli 2019.
Markus Henriksson discount to the last reported EPRA NAV of 151.5 pence per RDI REIT Share at 31 August 2020; and • 16.8 per cent. ISIN: IM00BH3JLY32. Latest News Nov 6, 2019 EPRA Vacancy Rate reduced to. 3.1% as of 30-Sep-2019. Balance Sheet EPRA NAV/s of EUR 30.25 implies increase by 15.2% compared to. 9.
- Driftnettot uppgick till 28 970 tkr, resulterande i EPRA NAV och EPRA NNNAV. Det förstnämnda är det långsiktiga substansvärdet, om bolaget behåller fastigheterna för alltid och aldrig Förvaltningsresultat e. avdrag för nom.
* – EPRA NAV is a measure of the fair value of net assets assuming a normal investment property company business model. Accordingly, there is an assumption of owning and operating investment property for the long term. The measure is provided by the European Public Real Estate Association, the industry body for European REITs.
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 … EPRA NAV metrics include additional adjustments which not only provide more granular and standardised disclosure, but also accommodate analysis of different scenarios. One of the objectives is to provide a range of values to the market as it is up investors to decide which 2021-04-07 epra nav faq DOWNLOAD The pre-recorded webinar offers you an insight into the important changes to EPRA's BPR guidelines, including the latest updates to the EPRA NAV metrics and CapEx disclosure and how these will impact companies' reporting as well as the BPR Awards scoring. EPRA – Best Practices Recommendations Guidelines – November 2016 2 Table of contents 1.
Social & Corporate Governance Impacts: EPRA code: Measurement unit: Indicator : 2018: 2019 % change: Health & safety: H&S-Emp: Days per employee: Absentee rate: Direct employees
Extern fastighetsvärdering har genomförts av JLL. EPRA is listed in the World's largest and most authoritative dictionary database of abbreviations and acronyms. the group had EPRA NAV per share of 325.3p, EPRA nyckeltal EPRA NAV (Långsiktigt substansvärde), Mkr 41 265 35 728 27 436 14 019 EPRA NAV, kr per aktie 229,25 198,49 159,14 86,33 EPRA Vacancy rate (Vakansgrad) 4 5 4 5 1) Hänförligt till moderbolagets aktieägare.
'NAV' means net asset value. 'LTV' means loan-to-value. EPRA NAV. The EPRA Net Asset Value indicates the asset value or intrinsic value of a property company. The value is calculated based on consolidated equity
EPRA NAV per share grew by +3.3% over 2018, to €28.39. Restated for the interim dividend of €0.75 paid in November 2017 on 2017 EPRA NAV, NAV rose by
Aug 4, 2020 EPRA NAV per share, EUR, 11.33, 12.77, -11.3 %, -.
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As of 28.02.2019, EfTEN Real Estate Fund III AS share's Net Asset Value (NAV) was EUR 15.95. NAV grew by 1% in February. EPRA NAV aktie om 127,9 kronor per den 31 december 2020 med cirka 18 procent och Tre Kronors rapporterade EPRA NAV (långsiktigt substansvärde) Det betyder kurs Net Asset Value (NAV) är ett mått som ofta används vid redovisning Fonder har ingen köp- eller säljkurs till EPRA NAV är ett The original EPRA NAV metric was created to measure the fair value of net assets in a normal investment property company business model over the long term.
Markus Henriksson
discount to the last reported EPRA NAV of 151.5 pence per RDI REIT Share at 31 August 2020; and • 16.8 per cent. ISIN: IM00BH3JLY32. Latest News
Nov 6, 2019 EPRA Vacancy Rate reduced to.
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=> 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
90,70 159,14. 86,33. 60,50. 50,37. 41,83. 32,89. 22,16.