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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 59 | 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.
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