Långsiktigt substansvärde (EPRA NAV), kr. Redovisat eget kapital hänförligt till stamaktien, exkl. eget kapital tillhörande preferens- och D-aktier, innehav utan 

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Etikettarkiv: EPRA NAV. Kungsleden toppkandidat vid fastighetskonsolidering · Kommentera. Om vi står inför en konsolideringsfas bland 

• Långsiktigt substansvärde (EPRA NAV) 1 935 Mkr (1 148). Perioden januari-september 2019. As of 28.02.2019, EfTEN Real Estate Fund III AS share's Net Asset Value (NAV) was EUR 15.95. NAV grew by 1% in February. EPRA NAV  aktie om 127,9 kronor per den 31 december 2020 med cirka 18 procent och Tre Kronors rapporterade EPRA NAV (långsiktigt substansvärde)  Det betyder kurs Net Asset Value (NAV) är ett mått som ofta används vid redovisning Fonder har ingen köp- eller säljkurs till EPRA NAV är ett  The original EPRA NAV metric was created to measure the fair value of net assets in a normal investment property company business model over the long term. Through EPRA’s mission to promote, develop and represent the European public real estate sector, there are now 14 REIT regimes in Europe. The EPRA NAV is a net asset value per share calculated in accordance with EPRA’s methodology i.e.

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EPRA NAV (Net Asset Value) per share, SEK Reported shareholders' equity with reversal of goodwill, interest  Apr 20, 2020 This video will give you the latest updates to the EPRA NAV metrics and CapEx disclosure and how these will impact companies' reporting. Aug 30, 2011 EPRA NAV adjusted to include the fair values of (i) financial instruments, (ii) debt and (iii) deferred taxes. EPRA Net Initial Yield (NIY). Equity attributable to equity holders of the parent company (NAV), 557,956, 613,351, 537,913.

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.

Bolagets EPRA NAV uppgick per den 30 september 2020 till cirka 1 347 MSEK. Studentbostäder i Sveriges nya finansiella mål: Generera 

Nyckeltalet visar därmed på bolagets värde per aktie i  EPRA NAV - Långsiktigt substansvärde. Redovisat eget kapital enligt balansräkningen med återläggning av räntederivat, goodwill och uppskjuten skatt. Långsiktigt substansvärde (EPRA NAV), kr.

Epra nav

EPRA NAV FAQ 1. Why has the EPRA NAV been changed? When the EPRA NAV was discussed and established in 2003, France had launched itbarely s SIIC reform and the UK and Germany were still years away from introducing their own four REIT regime. Since then, the important work done by EPRA has resulted in the introduction of

Epra nav

811,173. 43.67. EPRA NTA. 907,127. EPRA Earnings €/share, 5,08, 5,31, 5,31. EPRA NAV (M€), 8 293, 9 256, 9 444. EPRA NAV €/share, 99,7, 105,8, 99,8.

EPRA NAV – kr per aktie*. 125. 101. Totalavkastning fastigheter, %.
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Epra nav

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. EPRA – Best Practices Recommendations Guidelines – November 2016 2 Table of contents 1. Foreword03 2.

EPRA NAV per A-aktie i SBF Bostad AB (publ) per den 31 december 2019 mån, jan 27, 2020 15:15 CET. Nettoandelsvärde, EPRA NAV, för en A-aktie uppgick per den 31 december 2019 till 54 120 kronor.; Fastighetsbeståndet marknadsvärderades per den 31 december 2019 till drygt 947 miljoner kronor*. Vonovia Annual Report 2019 – The 2019 fiscal year was once again very successful for Vonovia on the whole.
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Aug 31, 2020 Revaluation of trading properties. 15. 14. EPRA NAV. 3,755. 2,906. Real estate transfer tax on investment properties. 563. 231. EPRA NRV.

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.. 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’s new best practice recommendations for NAV calculations, which kick in this January, introduce three discrete NAV measures to replace the old ones.

EPRA NAV visar på företagets långsiktiga substansvärde. Hur nyckeltalet ska räknas ut är fastställt av EPRA. EPRA NAV = Eget kapital med återläggning av derivat och uppskjuten skatt och skatterabatt erhållet i samband med förvärv, i förhållande till antalet aktier vid periodens utgång* *Definition som fastighetsbolaget Kungsleden

231. EPRA NRV. Jun 30, 2019 EPRA earnings** Reconciliation NAV, EPRA NAV and EPRA NNNAV: Reconciliation EPRA net initial yield and EPRA topped up yield:. REITs (FTSE EPRA/NAREIT Developed GTR index, +6.1%) were able to outperform both global equities Exhibit 6: Global Real Estate Securities Price to NAV. EPRA earnings (in € per share) (Group share), 1,60, 1,91, 1,63, 1,58, 1,75.

EPRA NAV är ett bättre mått än eget kapital enligt IFRS för företag som förvaltar sina fastigheter på lång sikt.