Investor Presentaiton
GROUP
NET ASSET VALUE, TANGIBLE NET ASSET VALUE
End of period (in EURm)
Shareholders' equity Group share*
2022
2021
2020
66,451
65,067
61,710
Deeply subordinated notes
(10,017)
(8,003)
(8,830)
Undated subordinated notes
0
0
(264)
Interest of deeeply & undated subodinated notes, issue premium
amortisations (1)
(24)
20
19
Bookvalue of own shares in trading portfolio
67
37
301
Net Asset Value*
Goodwill
Intangible Assets
Net Tangible Asset Value*
Number of shares used to calculate NAPS**
Net Asset Value per Share
Net Tangible Asset Value per Share
56,477
57,121
52,936
(3,652)
(3,624)
(3,928)
(2,882)
(2,733)
(2,484)
49,943
50,764
46,524
801,147
831,162
848,859
70.5
68.7
62.4
62.3
61.1
54.8
(1) Interest net of tax, payable or paid to holders of deeply subordinated notes & undated subordinated notes, issue premium amortisations
(*) Amounts restated compared with the financial statements published in 2020 (See Note1.7 of the financial statements)
(**) The number of shares considered is the number of ordinary shares outstanding as at end of period, excluding treasury shares and buybacks, but including the trading shares held by the Group.
In accordance with IAS 33, historical data per share prior to the date of detachment of a preferential subscription right are restated by the adjustment coefficient for the transaction (see Methodology)
SOCIETE
GENERALE
4TH QUARTER AND FULL YEAR 2022 RESULTS 18 FEBRUARY 2023
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