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Pin to quick picksGlobalworth Regulatory News (GWI)

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2016 year-end EPRA Net Asset Value

2 Mar 2017 07:00

RNS Number : 2941Y
Globalworth Real Estate Inv Ltd
02 March 2017
 

2 March 2017

 

The information communicated within this announcement is deemed to constitute inside information as stipulated under the Market Abuse Regulations (EU) No. 596/2014. Upon the publication of this announcement, this inside information is now considered to be in the public domain. 

 

Globalworth Real Estate Investments Limited

31 December 2016 year-end EPRA Net Asset Value

Globalworth Real Estate Investments Limited ("Globalworth" or the "Company") is pleased to announce its 31 December 2016 year-end unaudited EPRA Net Asset Value and other key financial metrics.

Key highlights are as follows:

Portfolio Open Market Value ("OMV")1 of €977.5m, up 5.0% as compared to 31 December 2015 (€931.1m), mainly as a result of the revaluation of Globalworth Tower and Gara Herastrau office properties to their fair values following their completion in 2016 and capital expenditure on investment properties under development.

Loan to Value of 43.4 per cent, down marginally compared to at 31 December 2015 (43.9 per cent)

NAV of €715.4m, up 43.2% as compared to 31 December 2015 (€499.7m)

EPRA2 NAV of €783.8m, up 37.9% compared to 31 December 2015 (€568.3m)

NAV per share of €7.913, down marginally compared to 31 December 2015 (€7.98)

The Company in December 2016 successfully completed a €200 million new equity capital raise at €8.0 per share. This transformational transaction was subscribed by Growthpoint Properties Limited ("GRT") and certain funds and/or accounts managed by Oak Hill Advisors (Europe), LLP and its affiliates ("Oak Hill"), and resulted in GRT becoming the largest shareholder in the Company with 26.9%. NAV and EPRA NAV per share were impacted following the Company's latest capital raise, which resulted in the issuance of c.27.1m5 new shares.

EPRA NAV per share4 of €8.57, down 5.6% as compared to 31 December 2015 (€9.08)

Net Operating Income of €43.6m for 2016, up 53.5% as compared to 2015 (€28.4m)

Normalised EBITDA6 from ongoing operating activities of €36.3m for 2016, up 62.4% as compared to 2015 (€22.4m)

 

For further information visit www.globalworth.com or contact:

 

Globalworth Real Estate Investments Limited

Dimitris Raptis

 

Tel: +40 372 800 000

Panmure Gordon (Nominated Adviser and Joint Broker)

Andrew Potts

 

Tel: +44 20 7886 2500

 

Cantor Fitzgerald Europe (Joint Broker)

Rick Thompson

David Foreman

 

Tel: +44 7894 700020

Milbourne (Public Relations)

Tim Draper

Tel: +44 7903 802545

 

 

 

 

About Globalworth

Globalworth is a real estate investment company active in the SEE and CEE regions with a focus on Romania. The Company is internally managed by c.70 professionals and its portfolio currently comprises 15 high quality real estate investments currently valued at c.€978m, all located in Romania.

__________________________________

1 Portfolio OMV is based on third party valuations at 31 December 2016.

 

2 "EPRA" The European Public Real Association Estate is a non-profit association representing Europe's publicly listed property companies.

 

3 The number of ordinary shares used to calculate Net Assets Value "NAV" per share as of 31 December 2016 were 90,396,948 (31 December 2015: 62,616,691). If the 1,072,962 shares that will be issued during 2017 is taken into account (see footnote 5 below), the diluted NAV per share at 31 December 2016 would amount to €7.82 per share.

 

4 The number of ordinary shares used to calculate the EPRA Net Assets Value "EPRA NAV" per share as of 31 December 2016 were 91,469,910 (31 December 2015: 62,616,691).

 

5 The amount of new shares resulting from the December 2016 equity raise of 27,145,923 includes 1,072,962 shares that will be issued during 2017.

 

6 Calculated as profit before finance cost, depreciation, amortisation of other non-current assets, gain on acquisition of subsidiaries, fair value gain on investment property, and other non-operational and / or non-recurring income and expense items.

 

Note all numbers in this announcement are unaudited.

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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