ALTERNATIVE PERFORMANCE MEASURES

ALTERNATIVE PERFORMANCE MEASURES

In accordance with SIX Swiss Exchange’s Directive on Financial Reporting regulations, this section includes definitions of performance measures that are not defined under Swiss GAAP FER.

EBITDA BEFORE REVALUATIONS/DISPOSALS

The EBITDA before revaluations/disposals is a subtotal in the income statement and represents the operating profit before revaluations, disposal of properties, disposal of subsidiaries, depreciation and amortisation.

NET PROFIT EXCLUDING REVALUATION EFFECT

CHF 1,000

 

31.12.2022

31.12.2021

Net profit

 

151,825

200,680

Income from revaluations

 

–67,166

–184,118

Deferred income taxes from revaluation

 

9,093

24,741

Net profit excluding revaluation effect

 

93,751

41,303

FUNDS FROM OPERATIONS (FFO)

CHF 1,000

 

31.12.2022

31.12.2021

Cash flow from operating activities

 

54,553

44,070

Cash flow from changes in properties held for sale

 

–697

–5,250

Interest received

 

264

322

Interest paid

 

–2,341

–4,794

Funds from operations (FFO)

 

51,780

34,349

GROSS LOAN-TO-VALUE (GROSS LTV)

Interest-bearing financial liabilities in relation to total property portfolio value

CHF 1,000

 

31.12.2022

31.12.2021

Current financial liabilities

 

204,000

393,500

Non-current financial liabilities

 

115,000

255,000

Total interest-bearing financial liabilities

 

319,000

648,500

 

 

 

 

Properties held for sale

 

16,354

16,904

Investment properties

 

1,491,568

1,718,028

Total property portfolio

 

1,507,923

1,734,932

 

 

 

 

Gross LTV

 

21.2%

37.4%

NET ASSET VALUE (NAV) PER SHARE

 

 

31.12.2022

31.12.2021

Equity attributable to the shareholders of Investis Holding SA

CHF 1,000

1,068,806

967,118

Number of shares outstanding

 

12,730,665

12,743,248

NAV per share (basic/diluted)

CHF

83.96

75.89

NET ASSET VALUE (NAV) PER SHARE EXCLUDING DEFERRED TAXES WITH REGARD TO PROPERTIES

 

 

31.12.2022

31.12.2021

Equity attributable to the shareholders of Investis Holding SA

CHF 1,000

1,068,806

967,118

Deferred tax liabilities with regard to properties

CHF 1,000

141,541

163,610

Net asset value excluding deferred taxes with regard to properties

CHF 1,000

1,210,347

1,130,728

Number of shares outstanding

 

12,730,665

12,743,248

NAV per share excluding deferred taxes with regard to properties (basic/diluted)

CHF

95.07

88.73

DIVIDEND YIELD

CHF

31.12.2022

31.12.2021

Gross dividend 1)

2.50

2.50

Share price at end of period

101.50

104.50

Dividend yield 1)

2.5%

2.4%

PAYOUT RATIO

 

 

31.12.2022

31.12.2021

Number of registered shares issued

 

12,800,000

12,800,000

Gross dividend 1)

CHF

2.50

2.50

Total intended distribution

CHF 1,000

32,000

32,000

Net profit attributable to Investis Holding SA shareholders

CHF 1,000

151,700

200,490

Payout ratio 1)

 

21.1%

16.0%

1) Intended distribution per share in accordance with the proposal to the Annual General Meeting.

LIKE-FOR-LIKE RENTAL GROWTH

CHF 1,000

 

31.12.2022

31.12.2021

Rental income – current period

 

57,790

60,022

Rental income – prior period

 

–60,022

–57,869

Decrease in rental income

 

–2,232

2,153

Rental growth

 

–3.7%

3.7%

of which due to acquisitions

 

2.7%

6.1%

of which due to disposals

 

–7.4%

–3.6%

of which like-for-like rental growth

 

1.0%

1.3%