Net Asset Value
Vonovia’s net asset value (NAV) figures are based on the best practice recommendations of the EPRA (European Public Real Estate Association). At the end of the first half of 2019, the EPRA NAV came to € 27,240.6 million, up by 4.4% on the value of € 26,105.0 million seen at the end of 2018. EPRA NAV per share developed from € 50.39 at the end of 2018 to € 50.23 at the end of the first half of 2019. The Adjusted NAV of € 26,305.0 million at the end of the first half of 2019 was an increase of 13.1% over € 23,262.6 million at the end of 2018. This represents an increase in the Adjusted NAV per share from € 44.90 at the end of 2018 to € 48.51 at the end of the first half of 2019.
in € million |
Dec. 31, 2018 |
June 30, 2019 |
Change in % |
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Total equity attributable to Vonovia shareholders |
17,880.2 |
18,264.2 |
2.1 |
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Deferred taxes on investment properties |
8,161.1 |
8,900.5 |
9.1 |
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Fair value of derivative financial instruments* |
87.2 |
103.2 |
18.3 |
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Deferred taxes on derivative financial instruments |
-23.5 |
-27.3 |
16.2 |
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EPRA NAV |
26,105.0 |
27,240.6 |
4.4 |
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Goodwill |
-2,842.4 |
-935.6 |
-67.1 |
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Adjusted NAV |
23,262.6 |
26,305.0 |
13.1 |
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EPRA NAV per share in €** |
50.39 |
50.23 |
-0.3 |
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Adjusted NAV per share in €** |
44.90 |
48.51 |
8.0 |