Financial Key Figures

(In thousands of CHF unless otherwise stated) FY 2022 FY 2021
RENTAL INCOME 59’871 58’866
RESULT FROM REVALUATION 71’216 6’500
TOTAL REVENUE INCLUDING RESULT FROM REVALUATION 131’087 65’366
EBIT 125’055 58’217
PROFIT FOR THE PERIOD 103’687 43’476
EPS (IN CHF) 8.94 3.75
OPERATING CASH FLOW PER SHARE (IN CHF) 3.87 3.26
NAV BEFORE DEFERRED TAXES 685’084 608’959
NAV AFTER DEFERRED TAXES 574’472 507’324
MARKET VALUE OF PROPERTIES 1’255’330 1’157’174