Growthpoint Interactive Half Year Report 2018
Growthpoint Properties Australia 2018 Half Year Report 60 2018 Securityholder Calendar* 20 February 2018 • • Results for the half year ended 31 December 2017 announced to ASX 28 February 2018 • • Distribution paid for the half year ending 31 December 2017 6 March 2018 • • HY18 interim report sent to Securityholders 26 April 2018 • • Investor Update released to ASX 16 August 2018 • • Results for the full year ended 30 June 2018 announced to ASX 31 August 2018 • • Distribution paid for the half year ending 30 June 2018 • • FY18 Annual Report sent to Securityholders 18 October 2018 • • Investor Update released to ASX 21 November 2018 • • Annual General Meeting * Dates indicative and subject to change by the Board. Glossary $ or dollar refers to Australian currency unless otherwise indicated AFSL Australian Financial Services Licence A-REIT Australian Real Estate Investment Trust AUD Australian Dollars ASX Australian Securities Exchange B billion Board the board of directors of the Company CAGR compound annual growth rate Capex capital expenditure Cap rate or capitalisation rate refers to the market income produced by an asset divided by its value or cost CBD central business district Company or responsible entity Growthpoint Properties Australia Limited cps cents per security CY15, CY16, CY17 the calendar year ended 31 December in the year listed i.e. “CY17” means the calender year ended 31 December 2017 discount rate the interest rate used in a discounted cash flow (DCF) analysis to determine the net present value of an asset’s future cash flows distributions the amount Securityholders receive by way of income in their hand (before any tax or brokerage costs). It is similar to a dividend by a company but it is payable by the Trust dps distributions per security Funds From Operations (FFO) refer to explanation at the top of page 12 dps distribution per security FY13, FY14, FY15, FY16 and FY17 the 12 months ended on 30 June in the year listed i.e. “FY17” means the 12 months ended 30 June 2017 FY18, FY19, FY20, FY21 and FY22 the 12 months ending on 30 June in the year listed i.e. “FY18” means the 12 months ending 30 June 2018 HY13, HY14, HY15, HY16, HY17 and HY18 the six months ended on 31 December in the prior calendar year listed i.e. “HY18” means the six months ended 31 December 2017 HY19, HY20, HY21 and HY22 the six months ending on 31 December in the prior calendar year listed i.e. “HY19” means the six months ending 31 December 2018 ICR Interest coverage ratio Gearing interest bearing liabilities less cash divided by total assets less cash GMF previously GPT Metro Office Fund which traded on the ASX as GMF (renamed Growthpoint Metro Office Fund) GOZ the ASX trading code that Growthpoint trades under. gross assets the total value of assets Growthpoint or the Group Growthpoint Properties Australia comprising the Company, the Trust and their controlled entities Growthpoint SA or GRT Growthpoint Properties Limited of South Africa (Growthpoint’s majority Securityholder) which trades on the JSE under the code “GRT” IDR Industria REIT IFRS International Financial Reporting Standards JLL the Australian arm of Jones Lang LaSalle, an international professional services and investment management firm JSE Johannesburg Stock Exchange m million MER management expense ratio NABERS National Australian Built Environment Rating System (a national system for measuring environmental performance of buildings) NPI net property income NTA net tangible assets REIT real estate investment trust Securityholder an owner of Growthpoint securities S&P Standard & Poor’s sqm square metres sustainability a process for ensuring activities are able to be continued and assets and resources are able to endure for a medium-long-term Syndicated Facility syndicated loan facility from CBA, NAB, WBC and ANZ to Growthpoint Trust Growthpoint Properties Australia Trust WALE weighted average lease expiry WARR weighted average rent review
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