5-YEAR REVIEW

OPERATING RESULTS

CHF 1,000

2025

2024

2023

2022

2021

Investis Group

Revenue

79,811

152,707

231,530

227,548

215,997

EBITDA before revaluations/disposals 1)

53,275

48,897

50,062

53,524

53,673

EBIT

167,456

274,518

–1,487

180,399

235,081

Net profit

152,038

246,507

–5,402

151,825

200,680

Net profit excluding revaluation effect 1)

54,147

156,503

35,548

93,751

41,303

Funds from operations (FFO) 1)

44,447

45,606

40,612

51,780

34,349

Properties

Revenue

79,811

64,360

53,077

57,790

60,022

EBITDA before revaluations/disposals 1)

57,942

42,885

33,691

36,802

39,978

EBIT

172,203

148,485

–13,868

167,342

225,117

Real Estate Services 2)

Revenue

-

89,948

181,696

173,512

159,850

of which property management

-

31%

33%

35%

38%

of which facility services

-

69%

67%

65%

62%

EBIT

-

8,783

17,914

18,367

14,895

EBIT margin

-

9.8%

9.9%

10.6%

9.3%

Investis Group excl. Real Estate Services 2)

Revenue

79,811

64,360

53,077

57,790

60,022

Direct expenses

–19,720

–18,095

–17,214

–17,348

–17,419

Personnel expenses

–4,653

–5,491

–5,507

–5,247

–4,806

Other operating expenses

–2,163

–2,807

–2,102

–3,534

–2,656

EBITDA before revaluations/disposals 1)

53,275

37,967

28,254

31,662

35,140

Income from revaluations

113,458

104,884

–47,675

67,166

184,118

Income from disposal of properties

839

759

209

63,406

1,059

Income from disposal of subsidiaries

-

122,271

-

-

-

Depreciation and amortisation

–116

–146

–189

–202

–131

EBIT

167,456

265,735

–19,401

162,032

220,186

FINANCIAL POSITION

CHF 1,000

31.12.2025

31.12.2024

31.12.2023

31.12.2022

31.12.2021

Total assets

2,285,529

2,079,021

1,609,590

1,593,252

1,817,214

Cash and cash equivalents

1,205

2,145

3,916

3,742

4,805

Residential investment properties

1,742,726

1,620,480

1,361,482

1,383,135

1,605,772

Commercial investment properties

492,663

369,977

147,012

108,170

111,993

Investment properties under construction

-

-

263

263

263

Properties held for sale

2,683

4,791

9,269

16,354

16,904

Total property portfolio

2,238,072

1,995,247

1,518,026

1,507,923

1,734,932

Interest-bearing financial liabilities

626,000

551,000

397,000

319,000

648,500

Gross LTV 1)

28.0%

27.6%

26.2%

21.2%

37.4%

Deferred tax liabilities

174,463

155,957

140,839

142,636

164,634

Shareholdersʼ equity

1,454,002

1,339,505

1,029,243

1,065,569

964,655

Equity ratio

63.6%

64.4%

63.9%

66.9%

53.1%

PROPERTIES KEY FIGURES

31.12.2025

31.12.2024

31.12.2023

31.12.2022

31.12.2021

Total buildings

207

197

152

149

171

Total residential units

3,067

2,976

2,477

2,445

3,073

Average discount rate (real)

2.89%

3.00%

2.97%

2.74%

2.84%

Like-for-like rental growth 1)

0.9%

3.4%

3.1%

1.0%

1.3%

Gross rental income (CHF million)

85.8

78.4

57.9

53.9

64.2

Net rental income (CHF million)

84.0

76.9

57.4

53.2

62.8

Vacancy rate

2.0%

1.9%

0.9%

1.3%

2.2%

NUMBER OF EMPLOYEES

31.12.2025

31.12.2024

31.12.2023

31.12.2022

31.12.2021

Headcount at end of period

13

17

2,305

2,334

2,299

FTE (full-time equivalents, average over the period)

12

795

1,600

1,526

1,440

DATA PER SHARE

CHF

31.12.2025

31.12.2024

31.12.2023

31.12.2022

31.12.2021

Share capital

1,280,000

1,280,000

1,280,000

1,280,000

1,280,000

Number of registered shares issued

12,800,000

12,800,000

12,800,000

12,800,000

12,800,000

Nominal value per share

0.10

0.10

0.10

0.10

0.10

NAV per share 1)

113.97

104.91

80.71

83.63

75.63

NAV per share excluding deferred taxes 1, 3)

127.64

117.13

91.68

94.75

88.47

Earnings per share (basic/diluted)

11.91

19.32

–0.42

11.90

15.74

Gross dividend 3)

3.00

2.60

2.50

2.50

2.50

Dividend yield 1, 3)

2.1%

2.3%

2.6%

2.5%

2.4%

Payout ratio 1, 3)

25.3%

13.5%

n/a

21.1%

16.0%

Share price – annual high

145.00

112.00

101.50

115.00

109.00

Share price – annual low

107.50

92.00

89.60

84.80

86.00

Share price at end of period

144.50

112.00

97.60

101.50

104.50

Average number of shares traded per day

3,815

2,017

3,115

3,131

2,981

Market capitalisation at end of period (CHF million)

1,850

1,434

1,249

1,299

1,338

1)The section ‘Alternative Performance Measures’ includes definitions of performance measures that are not defined under Swiss GAAP FER.

2)Disposal of entire segment Real Estate Services as per 24 June 2024.

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