Investor Presentaiton
Prudent Capital Management
As at 31 March 2021
Investment Properties (1) and Debt (2) as at 31 March 2021
6,301
2,984
2,319
Total Portfolio
■Investment Properties
Debt
FRASERS
LOGISTICS & COMMERCIAL
TRUST
1,590
1,030
1,270
700
367
457
222
Australian Portfolio
European Portfolio
Singapore Portfolio
UK Portfolio
Interest Risk Management as at 31 March 2021
SGD,
16.0%
$
70.6%
Borrowings at fixed rates
Fixed,
70.6%
Variable,
29.4%
▲ 13.2 p.p from 31 Dec 20
EUR,
11.9%
AUD, 1.5%
Note: As reported by FLCT in its 1HFY21 results announcement dated 6 May 2021.
1. Excludes recognition of right-of-use assets upon the adoption of FRS 116 Leases with effect from 1 October 2019. 2. Refers to debt in the currency or hedged currency of the country of the investment properties.
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