2020 R A P P O R T E N A B R ÉG É 1 E R S E M E S T R E Chiffres clés 1er semestre 2020 11.9 Portefeuille (mrds CHF) +3.6% par rapport à l’exercice précédent 11.3 Rendement des capitaux propres
… into force Planned application by Swiss Prime Site Classification of liabilities 1 01.01.2023 Fiscal year 2023 Disclosure of accounting policies 1 01.01.2023 Fiscal year 2023 IAS 8 rev. …
SEMI-ANNUAL REPORT REPORT 2022 Contents 2 Selected group key figures 3 Report on the first half-year of 2022 5 Financial commentary on the first half-year of 2022 9 Consolidated financial
… placement of convertible bond amounting to CHF 250 million, with a 0.25% coupon and maturity date of 2023 Robust operating income The performance turned in by Swiss Prime Site is manifested in the robust…
2019 R A P P O R T E N A B R ÉG É Chiffres clés 2019 11.8 Portefeuille (mrds CHF) +5.0% par rapport à l’exercice précédent 4.7 Taux de vacance (%) –2.1% par rapport à l’exercice précédent 3.80