In millions of euros (unless otherwise stated) 2002 2003 2004
Assets m² (share of GLA) 84 300 126 600 153 730
  Value (share of) 290,9 408,4 520,3
  Of which operated assets 231,4 309,7 393,6
  Of which assets set up 59,6 98,7 126,7
Income Gross rent invoiced 13,8 25,2 29,7
  Profits from residential development business 0,6 0,5 5,1
  Gross Operating Profit 14,7 21,3 29,7
  Income from sales excluding residential development business 2,9 2,7 1,6
  Group share of consolidated net profit 2,9 2,5 4,2
  Available cash flow before tax 11,4 15,5 22,1
  Of which cash flow from the shopping centre property business 8,4 15,7 18,8
  Of which cash flow from project management 2,5 (0,6) (1,4)
  Of which cash flow from residential development 0,5 0,4 4,6
Debt Debt ratio (%) 35,2 43,2 48,8
  Gross Operating Profit/financial income (x) 4,4 3,6 3,9
NAV* Replacement NAV 165,1 187,6 213,7
  NAV XXX de continuité SIIC XXX - 177,6 218,3
Number of employees   137 143 171
Ratios/share (in euros per share) Gross Operating Profit 2,8 4,1 5,8
  Available cash flow before tax 2,1 2,9 4,0
  Replacement NAV 32,0 36,4 39,6
  NAV XXX de continuité SIIC XXX - 34,4 40,4

* Net asset value
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