Aug 26, 2020 EPRA NAV increased to €12.4 billion and EPRA NAV per share of €9.0, compared to €10.6 billion and €8.7 per share in December 2019.

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Substansvärdet (EPRA NAV) per stamaktie uppgick till 6,71 kr vid kvartalets utgång. Resultaträkningsposter, 1 jan – 31 1 jan – 31 mars 2019 1 

EPRA Performance Measures 05 3.1 EPRA Earnings 06 3.2 EPRA NAV 09 Definition: EPRA NAV adjusted to include the fair value of (i) financial instruments, (ii) debt and (iii) deferred taxes. Purpose : Makes adjustments to EPRA NAV to provide stakeholders with the most relevant information on the current fair value of all the assets and liabilities within a real estate company. * – EPRA NAV är ett mått på det verkliga värdet av nettotillgångarna förutsatt att en normal investeringsaffärsmodell för fastighetsbolag används. Följaktligen finns det ett antagande om att långsiktigt äga och driva förvaltningsfastigheter.

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Milan 8 April 2019 - Aedes SIIQ S.p.A. (MTA: AED) announces the Triple Net Asset Value (NNNAV). EPRA and the EPRA  Investors Befimmo is listed on Euronext Brussels. As at 31 December 2019, its market capitalisation is €1.5 billion. Befimmo intends to offer its shareholders.

Deloitte - EPRA | Annual Report Survey 2018/2019. Foreword. 3. 1. (EPRA Earnings, NAV, NNNAV, Net Initial Yields, Vacancy Rate and. Cost Ratios).

The FTSE EPRA Global Real Estate Index is a stock market index series jointly managed by EPRA (Brussels), FTSE (UK) and NAREIT (US), composed of property company constituents that trade on several global exchanges.. The European Public Real Estate Association (EPRA), is a non-profit association representing Europe's publicly listed property companies. EPRA NAV Key Figures The EPRA NAV key figures make adjustments based on the IFRS equity to provide stakeholders with information that is as clear as possible on the fair value of a real estate company’s assets and liabilities in various scenarios.. The Net Reinstatement Value (NRV) is calculated based on the assumption that residential properties are never sold.

Epra nav

The FTSE EPRA Global Real Estate Index is a stock market index series jointly managed by EPRA (Brussels), FTSE (UK) and NAREIT (US), composed of property company constituents that trade on several global exchanges.. The European Public Real Estate Association (EPRA), is a non-profit association representing Europe's publicly listed property companies.

Epra nav

It is well known that the UK listed sector (in aggregate) currently trades at a significant discount to underlying NAV. This mas 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.

Epra nav

EPRA NNNAV (M€), 7 625, 8 375, 8 423. 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  EPRA NTA will now be our primary measure of net asset value, replacing our previously reported EPRA net assets and EPRA net assets per share measures.
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Epra nav

Do you want to find out more about the important changes to EPRA's BPR guidelines?

EPRA Net Disposal Value (NDV): EPRA NDV aims to represent the shareholders’ value under an orderly sale of the business EPRA Performanceindikatoren: mehr Transparenz mit neuen NAV-Kennzahlen Die European Public Real Estate Association (EPRA) hat ihre Empfehlungen zur Berechnung des Nettoinventarwertes (NAV) für börsennotierte Immobiliengesellschaften überarbeitet. Die DVFA (Deutsche Vereinigung für Finanzanalyse und Asset Management) begrüßt diesen Schritt.
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2021-04-07 · EPRA's mission. EPRA’s mission is to promote, develop and represent the European public real estate sector. 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.

Operational control har valts eftersom det ger Fabege bäst förutsättningar att redovisa statistik och data som Fabege direkt kan påverka. 5 timmar sedan · Substansvärde, EPRA NAV, per aktie låg på 42,1 kronor (37,7). Fastighetsbeståndet uppgick till 2,5 miljarder kronor vid periodens utgång. ”Efter periodens slut har Fortinova tillträtt fastigheter i Uddevalla och Varberg med ett underliggande fastighetsvärde om 127 miljoner kronor och knappt 8 miljoner kronor i hyresvärde.


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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

EPRA NAV METRICS PER SHARE (IN €). Jul 1, 2020 An empirical test of investment strategies based on stock price / EPRA NAV multiples for Swedish property holding stocks. Authors: Goldner  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  epra-net-asset-value-per-share.

av C Ullström · 2019 — discounts to the net asset value; furthermore, to what extent this knowledge can be applied to EPRA NAV - LÅNGSIKTIGT SUBSTANSVÄRDE ENLIGT EPRA .

EPRA NAV. 1) Market values 27/3/2020 and 2019 Q4 EPRA NAV. Note. Property companies on Nasdaq Stockholm Main Market. Average interest rate is  Substansvärde, EPRA NAV, per aktie låg på 12,3 euro (11,8).

Slutkurs igår 77,60. "Borde" ligga över 100, kanske uppåt 120-130. Långsiktigt substansvärde (EPRA NAV), kr/aktie¹), 129,25, 111,07, 129,25, 111,07. Tillväxt i långsiktigt substansvärde, kr/aktie, %, 16,4, 6,6, 16,4, 6,6.