EPRA – Best Practices Recommendations Guidelines – November 2016 2 Table of contents 1. Foreword03 2. EPRA BPR General Recommendations 04 2.1 Introduction 04 2.2 Language of financial reporting 04 2.3 Compliance with EPRA BPR 04 3. EPRA Performance Measures 05 3.1 EPRA Earnings 06 3.2 EPRA NAV 09

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gick långsiktigt substansvärde (EPRA NAV) till 40,3 mdkr eller 195 kronor per aktie. Aktuellt substans-värde (EPRA NNNAV) uppgick till 38,1 mdkr eller 185 kronor per aktie efter avdrag för bedöm d upp-skjuten skatteskuld. Denna bedömning har gjorts mot bakgrund av gällande skattelagstiftning, som

- 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.

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Vonovia Annual Report 2019 – The 2019 fiscal year was once again very successful for Vonovia on the whole. We systematically continued to pursue our corporate strategy. EPRA NAV 1 (p) 1. On an undiluted basis. 2. At 30 September. Terry Roydon.

2021-04-07

Långsiktigt substansvärde, EPRA NAV. Redovisat eget kapital med återläggning av derivatskuld (+-) samt uppskjuten skatt. Anger det långsiktiga värdet på  Stendörren - Bid implies 12% discount to '18e EPRA NAV. 27 november 2018.

EPRA NAV per aktie uppgick till 161,1 (141,1) kr. För ytterligare information, vänligen kontakta: Sara Williamson, IR kontakt, Bosjö Fastigheter 

Beräkningen har inte varit föremål för extern revision/granskning. “Det är glädjande att kunna konstatera att utvecklingen av EPRA NAV per A-aktie fortsätter att förbättras och ligger inom målintervallet 6 – 9 procent per år. DGAP-News: TLG IMMOBILIEN AG / Key word(s): Annual Results/Real Estate 31.03.2020 / 17:00 The issuer is solely responsible for the content of this announcement.

* – EPRA NAV is a measure of the fair value of net assets assuming a normal investment property company business model.
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Die NAV-Darstellung gemäß EPRA-Definition hat das Ziel, den Nettovermögenswert in einem langfristig orientierten Geschäftsmodell auszuweisen.Das Eigenkapital der Anteilseigner von Vonovia wird dabei um die latenten Steuern auf Investment Properties, um den Zeitwert der derivativen Finanzinstrumente und die latenten Steuern auf derivative Finanzinstrumente adjustiert. Sydsvenska Hem AB (publ), med organisationsnummer 559038-4177, är ett svenskt fastighetsbolag som indirekt äger fem fastigheter i västra Skåne.

Se hela listan på castellum.se 2021-04-07 · EPRA's mission. EPRA’s mission is to promote, develop and represent the European public real estate sector.
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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.

Redovisat eget kapital enligt balansräkningen med återläggning av räntederivat, goodwill och uppskjuten skatt. Långsiktigt substansvärde (EPRA NAV), kr.


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· EPRA NAV per A-aktie uppgick per den 31 mars 2020 till 55 077 kronor. · Fastighetsbeståndet marknadsvärderades per den 31 mars 2020 till 1 127 miljoner kronor. Vid beräkning av EPRA NAV har bolaget utgått från det egna kapitalet för aktuell period med avdrag för stamaktierna samt eventuell

2020-11-12 Fastighetsbolag värderas generellt enligt EPRA NAV (European Public Real Estate Association Net Asset Value). Markus Henriksson, analytiker på Pareto, förklarar varför måttet behövs och hur det fungerar. EPRA NAV means the amount as reported by NRE in its quarterly or annual earnings release, based on a GAAP balance sheet adjusted based on NRE’s interpretation of the EPRA guidelines, and similar as prior practices, including adjustments such as fair value of operating real estate, straight-line rent and deferred taxes and additional adjustments to be determined by NRE in good faith based on NAV changes are becoming mandatory for FY 2020 Share this Article: As we are now approaching to year-end reporting season, we thought it would be useful to point out once more to our members that the Net Asset Value (NAV) changes will need to be officially adopted for the first time in the annual reports ending on December 31, 2020, for those companies with December as fiscal year-end. * – 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. 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..

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

Net asset value, or NAV, is equal to a fund's or company's total assets less its liabilities. · 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. EPRA NAV 12/2020 (cents €/share), 11,27 cents €/share. Group LTV, 36%.

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