Investor Overview
Key Figures at 30.06.2023
€245.4 m at 30.06.2023
+0.2% vs 31.12.2022
+0.2% vs 31.12.2022
Value of the portfolio (excl. TT)
45.9% at 30.06.2023
Net LTV ratio
€15.0 m at 01.07.2023
+0.7 % vs 01.01.2023
+0.7 % vs 01.01.2023
Annualised net rent
€15.0 m at 01.07.2023
+0.7 % vs 01.01.2023
+0.7 % vs 01.01.2023
Net operating cash flow
€134.2 m, i.e. €41.9 per share
EPRA Net Disposal Value
92 % at 30.06.2023
Physical occupancy rate
3,202,068 at 30.06.2023
Number of shares (adjusted for treasury stock)