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Consolidated statement of financial position

EUR X 1,000

Notes

31-12-2024

31-12-2023

Assets

   
    

Non-current assets

   

Investment property

7

4,132,042

3,759,650

Assets under construction

8

432,003

540,434

  

4,564,045

4,300,084

Current assets

   

Trade and other receivables

9

12,400

8,422

Cash and cash equivalents

10

105,772

16,271

Assets held for Sale

11

-

11,844

  

118,172

36,537

Total assets

 

4,682,217

4,336,621

EUR X 1,000

Notes

31-12-2024

31-12-2023

Equity and liabilities

   
    

Equity

   

Capital

12

86

89

Share premium reserve

13

1,225,304

1,408,998

Revaluation reserve

14

1,299,596

1,041,920

Other reserve

15

995,194

864,812

  

3,520,179

3,315,819

    

Non-current liabilities

   

Financial liabilities

16

935,000

940,000

Other long term liabilities

17

30,217

20,292

  

965,217

960,292

    

Current liabilities

   

Trade and other payables

18

196,821

60,510

  

196,821

60,510

    

Total equity and liabilities

 

4,682,217

4,336,621

The notes on pages 65 to 76 are an integral part of these Financial Statements.

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