Financial targets and risk limits

  • Profit from property management per ordinary share shall increase by at least 10 per cent per year on average over a five-year period.
  • The net asset value per ordinary share shall increase by at least 12 percent per year on average over a five-year period.
  • The loan-to-value ratio shall amount to a maximum of 60 per cent in the long term.
  • The interest coverage ratio shall exceed 1.8 times.