ALTERNATIVE PERFORMANCE MEASURES

Investis Group

Half-Year Report 2023

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

 

30.06.2023

31.12.2022

30.06.2022

Net result

 

–24,429

151,825

125,768

Revaluation of investment properties

 

48,763

–67,166

–64,129

Deferred income taxes from revaluation

 

–6,888

9,093

8,820

Net profit excluding revaluation effect

 

17,446

93,751

70,459

FUNDS FROM OPERATIONS (FFO)

CHF 1,000

 

30.06.2023

31.12.2022

30.06.2022 restated

Cash flow from operating activities

 

22,971

54,553

23,482

Cash flow from changes in properties held for sale

 

–4,003

–697

–781

Interest received

 

176

264

78

Interest paid

 

–1,056

–2,341

–524

Funds from operations (FFO)

 

18,088

51,780

22,255

GROSS LOAN-TO-VALUE (GROSS LTV)

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

CHF 1,000

 

30.06.2023

31.12.2022

30.06.2022

Current financial liabilities

 

249,000

204,000

236,000

Non-current financial liabilities

 

115,000

115,000

255,000

Total interest-bearing financial liabilities

 

364,000

319,000

491,000

 

 

 

 

 

Properties held for sale

 

12,386

16,354

16,287

Investment properties

 

1,447,624

1,491,568

1,534,608

Total property portfolio

 

1,460,011

1,507,923

1,550,894

 

 

 

 

 

Gross LTV

 

24.9%

21.2%

31.7%

NET ASSET VALUE (NAV) PER SHARE

 

 

30.06.2023

31.12.2022

30.06.2022

Equity attributable to the shareholders of Investis Holding SA

CHF 1,000

1,013,933

1,068,806

1,045,730

Number of shares outstanding

 

12,747,717

12,730,665

12,760,665

NAV per share (basic/diluted)

CHF

79.54

83.96

81.95

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

 

 

30.06.2023

31.12.2022

30.06.2022

Equity attributable to the shareholders of Investis Holding SA

CHF 1,000

1,013,933

1,068,806

1,045,730

Deferred tax liabilities with regard to properties

CHF 1,000

136,090

141,541

145,920

Net asset value excluding deferred taxes with regard to properties

CHF 1,000

1,150,023

1,210,347

1,191,651

Number of shares outstanding

 

12,747,717

12,730,665

12,760,665

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

CHF

90.21

95.07

93.38

LIKE-FOR-LIKE RENTAL GROWTH (PROPERTIES)

CHF 1,000

 

30.06.2023

31.12.2022

30.06.2022

Rental income – current period

 

26,166

57,790

30,588

Rental income – prior period

 

–30,588

–60,022

–29,173

Decrease in rental income

 

–4,422

–2,232

1,415

Rental growth

 

–14.5%

–3.7%

4.8%

of which due to acquisitions

 

0.0%

2.7%

4.0%

of which due to disposals

 

–15.7%

–7.4%

–1.6%

of which due to conversion of use

 

–1.3%

-

-

of which like-for-like rental growth

 

2.5%

1.0%

2.5%