Trading update 31 March 2021
21 April 2021 - 6:00PM
Trading update 31 March 2021
STABLE RESULTS COMPARED TO THE PREVIOUS FINANCIAL
YEAR
- Net result from core activities per
share: € 1.20 (31 March 2020: €
1.21);
- Net asset value per share: € 78.83 (31 December 2020: €
78.20);
- Successful green bond transaction of € 32
mln (maturity of 5 years starting 31 March
2021 - annual interest rate of
3.25%);
- Debt ratio of 29.0% (31 December 2020: €
30.0%);
- EPRA occupancy rate: 91.4% (31 December 2020: €
91.9%);
- Fair value of the investment properties portfolio: €
916.9 mln (31 December 2020: €
921.2 mln);
- Recovery percentage of
90% for the first quarter of
2021.
- Press release - Trading update 31 March 2021
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