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57.3 (1.90%)


  • STI Straits Times Index
    57.3 (1.90%)
  • KLCI FTSE Bursa Malaysia KLCI
    11.7 (0.73%)
    Index delayed 15 minutes
  • HSI Hang Seng Index
    -557.5 (-1.92%)
    Index delayed 15 minutes
  • SSE SSE Composite Index
    -80.6 (-2.30%)
    Index delayed 15 minutes
  • N225 Nikkei 225
    -121.1 (-0.42%)
    Index delayed 20 minutes
  • JCI Jakarta Composite Index
    -10.3 (-0.16%)
    Index delayed 10 minutes

SGX Market

Bursa Market

HKEx Market

SET Market

IDX Market

ASX Market

NYSE Market


NYSE American Market

  • Volume: 1,697.1M
  • Value: 1,876.2M
  • Rise: 157
  • Fall: 199
  • Unch: 420

Intraday Market Ticker Help

Intraday Market Ticker
Time Name Type Price Vol
  • Top Active

  • Top Gainer

  • Top Loser

Top Counters
Name Last Change
Sembcorp Marine0.160+0.003
YZJ Shipbldg SGD1.110+0.030
Golden Agri-Res0.210+0.010
CWX Global0.005-
Arion Ent0.016-0.001

World Indices

World Indices
Name Last Change
Nasdaq 12,920.1 +196.7
HSI 28,540.8 -557.5
HSCEI 11,014.8 -277.4
Jakarta 6,248.5 -10.3
Nikkei 225 28,743.2 -121.1
SSE Comp 3,421.4 -80.6
Shanghai A 3,586.3 -84.5
Shanghai B 241.2 -3.8
KOSPI 2,996.1 -30.1

Asian Indices delayed. US Indices updated twice daily at 7:30am and 7:30pm.

News - Detailed News Story

Cromwell European REIT: Delivers Outstanding Performance Despite Pandemic.

23 Feb 2021 10:39

2H 2020 distribution per unit of EUR1.744 cents, only 1.3% lower than 2H 2019 on a like-for-like basis and 6.8% above 1H 2020, excluding capital distribution. FY 2020 DPU of EUR3.484 cents, only 3.0% lower compared to FY 2019 DPU on a like-for-like basis. EUR88.6 million cash flow from operating activities, 1.3% higher than FY 2019 and in line with FY 2020 distributable income; close to 100% cash collection rate for FY 2020. 95.1% portfolio occupancy rate, 7.4 percentage points above IPO Portfolio with +2.1% positive rental reversion and weighted average lease expiry profile maintained at 4.9 years. EUR2.2 billion portfolio valuation, 2.2% increase in valuation in 2H 2020 as at 31 December 2020, leading to a net asset value of EUR50.9 cents per unit and aggregate leverage of 38.1%...

More information available here.

Source: ShareInvestor Express

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