GROUP SUMMARISED AUDITED ANNUAL RESULTS

FOR THE YEAR ENDED 30 JUNE 2022

Downloads

Group salient features

TOTAL PROPERTY ASSETS
R160.8bn

5.2% increase from R152.8bn at FY21

DIPS
155.6cps

5.1% increase from FY21

DPS
128.4cps

8.4% increase from FY21

SA REIT NAV
2 158cps

6.7% increase from FY21

GROUP SA REIT LTV
37.9%

Decrease from 40.0% at FY21

OFFSHORE ASSETS
43.5%

Increase from 39.9% at FY21

INTEREST COVER RATIO
3.1 times

Increase from 2.9 times at FY21

ASSETS UNDER MANAGEMENT (GROWTHPOINT INVESTMENT PARTNERS)
R15.6bn

Increase from R11.7bn at FY21

OFFSHORE EBIT
28.4%

Decrease from 29.1% at FY21

SUSTAINABILITY RATINGS AND INDICES

FTSE/JSE Responsible Investment Index, FTSE4Good Emerging Index, CDP, GRESB, MSCI ESG, Sustainalytics

FITCH/MOODY’S RATINGS

Global scale: BB+/Ba2

National scale: AAA.za/Aa1.za

1 of 3

PARTICIPANT OF:

INVESTMENT PROPOSITION

  • Diversified across international geographies and sectors
  • Earnings underpinned by high-quality physical property assets
  • Dynamic and proven management track record
  • Best practice corporate governance
  • Transparent reporting
  • Level 1 B-BBEE contributor
  • Attractive ESG investment
  • Investment grade SA domestic debt rating