Our target is to generate attractive risk-adjusted returns and stable growth.
Company targets and financial targets
OPERATIONAL TARGETS
Our goal is to generate attractive risk-adjusted return for the company's shareholders. This is to be achieved by accomplishing the following operational targets:
- The company's operations are to generate long-term sustainable return and strong cash flows.
- The company is to continue to grow through new investments if attractive risk-adjusted returns are expected to be achieved.
- Cash flow growth in existing operations is to exceed inflation.
FINANCIAL TARGETS
The table below illustrates the outcome in relation to the financial targets:
Financial targets | OUTCOME ROLLING 12 MONTHS | FIVE-YEAR AVERAGE |
---|---|---|
Return on equity, measured over a five-year period, shall exceed 15% per year | 10% | 16% |
Profit from property management per Class A and B share shall increase by a minimum of 15% per year | 5% | 19% |