PAREF

Key figures


Key figures
Results at 30/06/2006
(IFRS)
(€ thousands) 30 June 2006
(6 months)
30 June 2005
(6 months)
31/12/2005
 
Rental income 2,122 1,461 2,887
Other revenue - 1,013 1,013
Profit margin on property transactions 192 336 899
Management fees 1,573 1,380 3,642
Gross operating profit 1,857 2,945 5,092

Operating profit after revaluation of property values

2,528

5,966

7,675
Profit before tax 2,150 5,625 7,066
Net profit (€ thousands)
Revalued and weighted earnings per share (€)
4,391
6.05
4,012
11.88
 

 

Consolidated balance sheet of Groupe PAREF
(IFRS)

Millions of €
06/30/06 12/31/05
Total non current assets 64.236 41.547
Total current assets 23.820 30.677
Non current assets Intended for sale 8.000 8.000
Total ASSETS 96.056 80.224

Millions of €
06/30/06 12/31/05
Equity capital 48.504 44.067
Total debts 47.552 36.157
Non current debts 36.214 29.225
Current debts 11.338 6.932
Total LIABILITIES 96.056 80.224