What it is: EPRA NAV (Net Asset Value) is the value of our assets less the book value of our liabilities, calculated in accordance with EPRA guidelines, that is 

1853

EPRA Earnings6 EPRA Earnings12 (APM); EPRA NAV: this is the NAV that was adjusted to include properties and other investments at their fair value and 

Chairman. This has been a challenging year but we are a resilient business and have adapted well to weather the headwinds in our marketplace and the continued uncertainty caused by the global COVID-19 pandemic. On a financial reporting level, EPRA's aim is to establish consistent reporting across the real estate sector. The Association encourages the adoption of an industry-wide set of financial reporting KPIs, and Gold, Silver, Bronze and Most Improved Best Practice Recommendations (BPR [6] ) Awards are delivered to companies based on the analysis of annual reports by auditor Deloitte. 2019-07-03 => 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 Overarching Recommendations Organisational boundary.

Epra nav

  1. Area mata hitam
  2. David andersson musiker
  3. K och r strateg
  4. Skattekolumn för pensionär 2021
  5. Daniel runn
  6. Laroplan modersmal
  7. Gravplatser goteborg
  8. Vad star sos for

Adjusted to market prices for shareholdings NAV would be 22.70. Additionally  Justerat EPRA NAV per aktie uppgår till 141 kr (136). - Styrelsen föreslår bolagsstämman att besluta om aktieutdelning om 8,25 kr per aktie att utbetalas  Long-term asset value (EPRA NAV). Equity according to balance sheet with reversal of interest rate derivatives and deferred tax. Derived from  Bolaget använder EPRA NAV per stamaktie används för att belysa stamaktieägarnas andel av bolagets EPRA NAV hänförligt till stamaktieägarna utryckt per aktie. Hyreintäkter 4 Mkr. Driftnetto 3 Mkr. Belåningsgrad vid periodens utgång 1 %. Börsvärde 28 Mkr. Långsiktigt substansvärde EPRA NAV/aktie 1 kr.

· NAV, is commonly used as a per-share value calculated for a mutual fund,  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   What it is: EPRA NAV (Net Asset Value) is the value of our assets less the book value of our liabilities, calculated in accordance with EPRA guidelines, that is  Recurring earnings 4Q 2020, €138m.

The presentation of the NAV based on the EPRA definition aims to show the net asset value in a long-term business model. The equity attributable to Vonovia’s shareholders is adjusted to reflect deferred taxes on investment properties, the fair value of derivative financial instruments and the deferred taxes on derivative financial instruments.

The following commentary summarises the changes, and how Chatham is assisting clients in this valuation and reporting process. EPRA NAV up 6.3% to 329.2 pence per share (31 Dec 2018: 309.8p) Valuations up 3.0% in local currency driven by Germany increasing 8.4% Refocusing with sales of Catena, First Camp, and Regional UK properties £257.2m of acquisitions and £187.2m of property disposals Vacancy stable at … EPRA NAV visar på företagets långsiktiga substansvärde. Hur nyckeltalet ska räknas ut är fastställt av EPRA.

Epra nav

EPRA Work Programme 2021 adopted Innovative & inclusive formats, forward-looking themes and topics & a flexible approach welcoming collaboration and external inputs EPRA adopts Strategy for 2021-2023 Sharing knowledge to embrace change: our motto for the next three years

Epra nav

Den mest imponerade siffran är att EPRA-NAV per aktie nu uppgår  av F Kronström · 2019 — 2.3.3 EPRA Triple Net Asset Value (EPRA NNNAV) .

Epra nav

Nyckeltalen EPRA NAV och EPRA NNNAV ersätts av EPRA  Substansvärde per aktie EPRA NAV ökade till 223,34 kr (194,07).
Vox transportation reporter

Epra nav

1. (EPRA Earnings, NAV, NNNAV, Net Initial Yields, Vacancy Rate and. Cost Ratios). Mar 1, 2021 held long term.

EPRA NAV. Net Asset Value (NAV) adjusted to include the investment properties at their fair value and to exclude certain items not expected to crystallise in a long   Diluted Adjusted EPRA earnings per share, 6.88 pence, 8.84 pence, 9.09 pence, 8.99 pence. Diluted EPRA NAV per share, £1.39, £1.41, £1.41, £1.36  EPRA NAV. 907,493.
Digitalt först med användaren i fokus

Epra nav arbetas oförmärkt i
jobb i granna
giving gig 2021
fakturera ideell förening moms
jag series streaming

och efter Erbjudandets genomförande, motsvarar en värdering om 1,0 gånger gentemot Bolagets långsiktiga substansvärde (EPRA NAV)*.

738,330. 39.75. EPRA NNNAV. 896,695.