Earnings Presentation

FY 2021

April 2022

Highlights

Successful strategy to enhance value and accelerate growth

Clear brand-strategy, focused on innovative office and retail solutions and affordable housing with strong customer orientation

¹ Investment Grade Rating of BBB- / stable outlook

Well-defined portfolio strategy with crisis-resilient and sustainable real estate solutions

Robust financial fundament as strong base for further growth and a sustainable dividend policy

Excellent performance 2017-2021

¹ Compound annual growth rate (CAGR) is the annualized average rate of growth

Clear double-digit annual growth (CAGR1) of key profitability indicators in the last five years despite challenging market environment in 2020 and 2021

Disproportionately positive development in relation to portfolio growth underpins value-enhancing strategy

Reduction in average financing costs by 39 basis points to a low level of 1.9%

Portfolio 2021

MEUR 284.7

MEUR 211.0

MEUR 210.1

Rental income

Results of asset management

Results of operations

-1.7%

+2.2%

+45.9%

(2020: MEUR 289.5)

(2020: MEUR 206.4)

(2020: MEUR 143.9)

95.1%

MEUR 5,160.8

6.3%

Occupancy rate

Portfolio value

Gross return

-0.9PP

+3.7%

Based on invoiced rents

(12/2020: 6.6%)

(12/2020: 96.0%)

(12/2020: MEUR 4,978.9)

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Immofinanz AG published this content on 20 April 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 20 April 2022 16:54:06 UTC.