EPRA NAV, NRV, NTA, NDV delat med det totala antalet utestående aktier efter utspädning vid periodens utgång. Periodens totalresultat, 

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Jan Willem Van Kranenburg (Global REIT Analyst, Cohen & Steers), Simon Robson Brown (Principal, CBRE Clarion Securities) and Bart Gysens (Managing Director,

EPRA Net Asset Value (NAV): rappresenta il fair value degli attivi netti considerando un orizzonte temporale di lungo periodo e la continuità aziendale; è calcolato partendo dal patrimonio netto di pertinenza del Gruppo (come riportato in bilancio secondo i principi IFRS) escludendo alcune attività e passività che ci si attende non si manifestino in condizioni di normale attività, come il 2021-02-15 · EPRA NAV, EPRA NRV and EPRA NTA as at the end of January 2021 increased to EUR 1.2270 per unit, corresponding to an increase of +0.42% over the last month. 2021-04-15 · Compared to the previous month, NAV per unit increased by +0.39%. The total net asset value of the Fund rose to EUR 137.1 million over the month. The NAV was affected positively by the operating performance of properties. EPRA NRV as at the end of March 2021 increased to EUR 1.2284 per unit, corresponding to an increase of +0.42% over the last 2021-01-15 · EPRA NAV, EPRA NRV and EPRA NTA as at the end of December 2020 decreased to EUR 1.2219 per unit, corresponding to a decrease of -5.55% over the last month.

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EPRA NRV, in € thousand  There are three new features of the Net Asset Valuation metrics, namely EPRA Net. Reinstatement Value (NRV), EPRA Net Tangible Assets (NTA) and EPRA Net  24 Mar 2021 payment of €1.00 per share, EPRA NAV was up +10% yoy. FY 2020 FY 2020 EPRA NRV/NTA/NDV bridge (€ per share). 33.72. 34.32. 40.09. 12. März 2020: DVFA begrüßt erweiterte EPRA Performance Indikatoren - Mehr Transparenz durch neue NAV-Kennzahlen.

21 oct. 2020 35. Communiqué de presse - 21 octobre 2020 en euros (x 1 000). EPRA NRV. EPRA NTA. EPRA NDV. EPRA NAV EPRA NNNAV. IFRS NAV.

EPRA NRV hänförligt till stamaktieägare, Mkr Förändring EPRA NRV, kvartalet 1Namnet på nyckeltalet EPRA NAV har ändrats till EPRA. Bolaget använder nyckeltalet för att belysa stamaktieägarnas andel av Bolagets egna kapital uttryckt per aktie. EPRA NAV hänförligt till stamaktieägare.

1) Since 2020 NRV, until 2019 NAV, since 2018 fully diluted and adjusted for goodwill, 2) Incl. ADO Properties, 3Adjusted for capital increase as resolved on 

The long-term net reinstatement value (EPRA NRV) totalled. SEK 214 per share  16 apr. 2021 EPRA NAV, EPRA NRV ja EPRA NTA kasvas 2021. aasta märtsi lõpu seisuga 1, 2284 euroni osaku kohta, mis tähendab +0.42% kasvu viimase  27 Jul 2020 Net asset value (EPRA NRV, EPRA NTA, EPRA NDV) . EPRA Net Initial Yield and EPRA “topped-up” Net Initial Yield . 20 Nov 2020 EPRA NAV per share as at 30 September 2020 For more information on adjusted net asset value and EPRA NRV, NTA and NDV, refer to  24 Mar 2021 NEW EPRA NAV KPIS. 31.

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33.72. 34.32.
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Epra nav nrv

The long-term net asset value EPRA NRV per share rose to SEK 245.08 (202.87). • The Board proposes a dividend of SEK 7.50 (6.50) per  Belåningsgraden uppgick till 52,9 % (56,7); EPRA NRV uppgick till 203 Belåningsgraden uppgick till 57,8 % (58,1); EPRA NAV uppgick till  EPRA NAV, NRV, NTA, NDV delat med det totala antalet utestående aktier efter utspädning vid periodens utgång. Periodens totalresultat,  Långsiktigt substansvärde (EPRA NRV) uppgick till. 214 kr (195) Aktiekurs i förhållande till långsiktigt substansvärde (EPRA NAV). AKTIENS  och belåningsgraden till 61,1 (62,5) %; EPRA NAV uppgick till 106,1 (98,3) kr belåningsgraden till 51,41 (58,08) %; EPRA NRV uppgick till 155,64 (113,19)  EPRA NRV - Net Reinstatement Value.

Säkerställd belåningsgrad, %, 45,8 (48,1). Fastighetsvärde, Tkr, 7 381 380 (4 734 455). EPRA NAV, Tkr, 2 268 912 (2 272 508  Bolagets EPRA NAV uppgick per den 30 september 2020 till cirka 1 1.347 Mkr. Entras EPRA NRV var 162 NOK per aktie per 30 september 2020. Det motsvarar 14 procent av Epra NRV, som är det av nyckeltalen Baserat på Epra NTA är Castellums Entra-bud värt 179 kronor per aktie  NRV, NTA, NDV, NAV, NNNAV.
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Epra nav nrv






12. März 2020: DVFA begrüßt erweiterte EPRA Performance Indikatoren - Mehr Transparenz durch neue NAV-Kennzahlen.

We achieve this through the provision of better information to investors and stakeholders, active involvement in the public and political debate, improvement of the general operating environment, promotion of best practices and the cohesion and strengthening of the industry. EPRA Net Reinstatement Value (NRV) Assumes that entities never sell assets and aims to represent the value required to rebuild the entity. The EPRA NAV set of metrics make adjustments to the NAV per IFRS financial statements to provide stakeholders with the most relevant information on the fair value of the assets and liabilities of a real estate investment company, under different scenarios. EPRA NAV-Kennzahlen Die EPRA NAV-Kennzahlen nehmen ausgehend vom IFRS-Eigenkapitalanpassungen vor, um den Stakeholdern eine möglichst klare Information bzgl. des Marktwerts des Vermögens und der Schulden eines Immobilienunternehmens unter verschiedenen Szenarien bereitzustellen.