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Investor Presentaiton

Celebrating 50 years FY22 Additional Information NTA & securities on issue reconciliation Net tangible assets As at 1 July 2021 Operating profit for the full year Revaluation of investment properties Securities issued during the period Other net equity movements and non-operating items through profit and loss Distributions¹ As at 30 June 2022 Securities on issue As at 1 July 2021 FY19 LTP TSR vested in FY22 FY19 LTP ROIC vested in FY22 FY19 LTP Individual Performance vested in FY22 Security issue under an employee incentive scheme As at 30 June 2022 Weighted average number of securities NTA per security 1. FY22 Distribution is 10.2cpss, with the distribution of 5.1cpss for the 6 months ending 30 June 2022, payable on 31 August 2022. $m 10,498 596 347 17 (35) (404) 11,019 No. of securities 3,937,556,510 747,650 12 Aug 21 12 Aug 21 2,827,248 12 Aug 21 1,536,855 3 Mar 22 401,059 3,943,069,322 3,942,211,916 $2.79 50 mirvac 11 AUGUST 2022 | 51
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