Skip to website navigation Skip to article navigation Skip to content

Financial statements

A page refresh occures when a subject is selected.

Skip article navigation.

Consolidated statement of financial position

Before appropriation of result, all amounts in € thousands

As at 31 December

Note

2023

2022

Assets

   

Non-current assets

   

Investment property

12

1,215,969

1,299,146

Total non-current assets

 

1,215,969

1,299,146

    

Current assets

   

Trade and other current receivables

13

3,942

6,542

Cash and cash equivalents

14

17,948

12,415

Total current assets

 

21,891

18,957

    

Total assets

 

1,237,860

1,318,103

    

Equity and liabilities

   

Equity attributable to the owners of the Fund

   

Issued capital

 

432,579

404,373

Premium

 

556,653

504,858

Revaluation reserve

 

140,823

245,881

Retained earnings

 

116,309

84,915

Net result for the year

 

(106,774)

(41,334)

Total equity

15

1,139,590

1,198,693

    

Liabilities

   

Non-current lease liabilities

16

82,992

80,182

Current trade and other payables

17

15,278

39,228

Total liabilities

 

98,270

119,410

    

Total equity and liabilities

 

1,237,860

1,318,103