Bosjö Fastigheter ökade förvaltningsresultatet under tredje

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Väsentliga händelser under tredje kvartalet. • Catena har i september tecknat  EPRA NRV per aktie, kr. 75,7. 71,2 EPRA earnings (förvaltningsresultat efter skatt) EPRA NAV (långsiktigt substansvärde) per aktie. 75,7.

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Vid EPRA NAV-beräkningen har hänsyn inte tagits till eventuella transaktionskostnader och skatteeffekter som kan uppstå vid en försäljning av  Investor AB Q2: Adjusted net asset value amounted to SEK 376,736 m. Fastighetsbolag värderas generellt enligt EPRA NAV (European  14.46 (19.02) EPRA NAV rose 12 percent to SEK 152.44 (140.20) The Board of Directors proposes a dividend of SEK 5.25 (4.50) per share. Resultat per aktie hamnade på 3,85 kronor (4,56), vilket innebär en minskning med 15,6 procent mot föregående år. Substansvärde, EPRA NAV, per aktie låg på  Långsiktigt substansvärde (EPRA NAV), kr. Hänförligt till moderföretagets aktieägare: Eget kapital, 9 612, 8 487.

Finansiella rapporter – Hembla AB

Following extensive consultation with industry stakeholders, EPRA has announced changes to the Net Asset Value (NAV) measurement to reflect the significant evolution of the listed real estate sector over the last 16 years, when the Best Practices Recommendations guidelines were first introduced. EPRA NAV – Ett nyckeltal som används för att värdera fastighetsbolag. EPRA NAV visar på företagets långsiktiga substansvärde. Hur nyckeltalet ska räknas ut är fastställt av EPRA.

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Börsvärde 28 Mkr. Långsiktigt substansvärde EPRA NAV/aktie 1 kr. Soliditet 1 %  och efter Erbjudandets genomförande, motsvarar en värdering om 1,0 gånger gentemot Bolagets långsiktiga substansvärde (EPRA NAV)*. Långsiktigt substansvärde (EPRA NAV), kr. 170,15. 90,70 159,14.

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(EPRA Earnings, NAV, NNNAV, Net Initial Yields, Vacancy Rate and.
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Copy link to Tweet; Embed Tweet. Amhult2, EPRA NAV 103,77.

EPRA Performance Measures 05 3.1 EPRA Earnings 06 3.2 EPRA NAV 09 EPRA Performance measures: EPRA NNNAV. Definition: EPRA NAV adjusted to include the fair value of (i) financial instruments, (ii) debt and (iii) deferred taxes.
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EPRA NAV förklarat

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 any changes to GAAP, international accounting standards or EPRA guidelines. 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 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.

The FTSE EPRA Nareit Global Real Estate Index Series is designed to represent general trends in eligible real estate equities worldwide.

Relevant activities are defined as the ownership, trading and development of income-producing real estate.