Aroundtown SA: Aroundtown SA is a real estate investment company based in Luxembourg.

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EPRA NTA amounting to €11.6 billion at the end of September 2022.
EPRA NTA per share of €10.4 at the end of September 2022, increasing by 2% and 4% dividend adjusted, as compared with the end of December 2021.
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The Group’s business activity was founded in 2004 by Yakir Gabay, who’s 10% shareholder.
The first acquisitions started in the biggest market of Berlin, in neighbourhoods such as Mitte and Charlottenburg.
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As of the finish of September 2022, Aroundtown had a minimal LTV ratio of 40%, comfortable ICR of 5.2x, and Net Debt/EBITDA margin of 12.2x.
These conservative debt metrics and significant headroom to bond covenants supply the Company with substantial flexibility in responding to the current market environment.
AT’s unencumbered assets balance of €23.5 billion provides additional flexibility by giving the possibility of raising comparatively cheaper debt concerning current public market unsecured financing costs.

dividends to shareholders, deciding on reinvestment within their businesses.
More value-oriented stocks have a tendency to represent financial services, utilities, and energy stocks.
Aroundtown SA is really a publicly listed real estate company, registered in Luxembourg.

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Liquidity balance of €2.3 billion which cover debt maturities until 2025.
Over €1 billion in undrawn revolving credit lines and €24 billion unencumbered properties provide additional untapped sources of liquidity.

Conservative financial profile by the end of the 9M 2022 exemplified by LTV of 40%, strong ICR of 5.2x, and strong equity ratio of 49% and long average debt maturity of 5.three years.
The rating upgrade may be the consequence of S&P’s assessment of Aroundtown stronger asset profile thus increasing the business profile assessment to strong.
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  • Following the earnings report the stock price went down -7.51%.
  • To buy shares in Aroundtown SA you’ll need a share-dealing account having an online or offline stock broker.
  • These conservative debt metrics and significant headroom to bond covenants provide the Company with substantial flexibility in responding to the existing market environment.
  • The topic of

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