Wednesday, November 9, 2016

City Development Q3 2016


Revenue                       $923m
PATMI                         $170m
EPS                              18.7 cents
NAV                             $9.91
ROE                             4.54%

Recurring Income Segment comprises of 62% EBITDA and 51% Total  Assets
International Income Segment comprises of 43% EBITDA and 46% Total Assets

Net Borrowings            $3038m
Gearing                         27% (20% after taking into account fair value revaluation)
Interest Cover Ratio     10.9X

No comments:

Post a Comment