Investor Presentaiton
Fair Valuation Overview - NAV Table
2019
2018
Book Value
Fair Value
Book Value
Fair Value
Cash and bank balances
Trade and Other Receivables
Development Properties
6,796
6,796
9,494
9,494
25,924
25,924
21,441
21,441
40,320
61,558
38,384
68,727
Investment in Associates and Joint Ventures
4,923
5,057
4,701
3,975
Securities and Loans to Associates and Joint Ventures
3,843
3,843
3,223
3,223
Investment Properties
21,905
65,974
19,768
66,697
Fixed Assets
10,900
12,838
10,648
12,566
Intangible assets
767
767
616
616
Assets Held for sale
669
669
3,144
3,144
Right of use assets
Total Assets
823
823
116,870
184,249
111,419
189,883
Total Liabilities (incl. Minority Interest)
(62,708)
(80,689)
(63,379)
(81,724)
Net Asset Value
54,162
103,560
48,040
108,159
Number of Shares Outstanding (in Million)
7,160
7,160
7,160
7,160
Net Asset Value per Share (AED)
7.56
14.46
6.71
15.11
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EMAAR PROPERTIES
EMAAR
Fair valuation is carried out by CBRE, JLL and other reputable valuers for development properties (including land), investment properties and revenue generating fixed
assets. The above do not include fair value of unconsolidated JVs and JDAS except those that are listed associates & JVs.View entire presentation