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Investor Presentaiton

TINC share NAV per share / Price per share Growth of distribution per share (in euro cents) 4.94% 5.22% -0.71% 3.22% -13.60% 67.31% 92.76% 60.86% 78.63% 60.00% 14.0 2.0 1.8 13.5 1.6 13.0 1.4 1.40 1.2 12.5 1.0 0.85 12.0 0.8 0.74 0.69 11.5 0.6 0.55 0.84 0.4 11.0 -0.50 0.5-1 .0.52. 0.54 0.2 10.5 0.0 30 June 2019 30 June 2020 30 June 2021 30 June 2022 31 December 2023* 30 June 2019 30 June 2020 30 June 2021 30 June 2022 31 December 2023* NAV per share Price per share Discount (share price vs. NAV) Distribution per share Net profit per share Payout ratio *over a period of 18 months EQUITY NAV 495 (in million €) € 13.60 /share NET RESULT 51 (in million €) € 1.40 /share 9 TINC Investor Presentation 2022-2023 Distribution to shareholders Distribution of in total € 30.5 million or € 0,84 per share Pay-out ratio of 60% Expected be paid in May 2024,
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